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Consolidated Statements of Cash Flows (Unaudited) - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash flows from operating activities:          
Net loss $ (18,101,821) $ (10,285,792) $ (23,999,794) $ (35,578,067) $ (32,938,065)
Adjustments to reconcile net loss to cash provided by (used in) operating activities:          
Depreciation 6,661,010 6,398,481 12,853,148 12,762,435 10,542,315
Depreciation and amortization     12,853,148 15,800,554 14,979,398
Amortization of debt issuance costs 321,550 544,111 926,180 1,278,578 1,499,924
Stock based compensation expense related to issuance of restricted stock 21,746 21,954 43,700 38,094 25,814
Accretion of preferred equity costs     0 0 189,920
Equity in loss of unconsolidated real estate ventures 1,561,373 607,602 2,114,897    
Unrealized derivative gain 913,169 218,241 377,190 (482,632) 90,825
Derivative fair value adjustment   410,657 410,657 1,770,963 2,553,422
Unrealized foreign currency adjustment 3,873,704 (3,108,763) (2,175,698) 6,513,187 (528,949)
Changes in operating assets and liabilities:          
Other assets, net (550,276) 354,725 1,494,094 530,680 (2,785,513)
Purchase of interest rate derivative (1,122,401)   (1,027,741) (2,913,815) (3,279,000)
Settlement of interest rate derivative   (2,030,731) (2,030,731)    
Purchase of foreign exchange derivative         (1,442,000)
Accounts payable and accrued liabilities 730,106 629,036 537,143 (599,126) 5,138,182
Due to affiliates 8,307,299 4,864,206 (9,308,508) 8,127,545 3,869,115
Net cash provided by (used in) operating activities 2,615,459 (1,376,273) (19,785,463) (5,514,039) (12,626,927)
Cash flows from investing activities:          
Purchase of real estate facilities         (252,273,853)
Additions to real estate facilities (4,524,091) (5,487,439) (12,743,728) (10,388,088) (8,078,768)
Deposits on acquisitions of real estate facilities and investments in unconsolidated real estate ventures         (148,220)
Refund of deposits on acquisitions of real estate facilities       481,866  
Investment in company owned life insurance   (887,387) (925,788) (902,063) (886,460)
Investments in unconsolidated real estate ventures (718,579) (2,562,445) (7,425,096) (17,702,419) (7,171,769)
Return of capital on investments in unconsolidated real estate ventures 6,367,664   0 15,988,299 0
Net cash provided by (used in) investing activities 1,124,994 (8,937,271) (21,094,612) (12,522,405) (268,559,070)
Cash flows from financing activities:          
Proceeds from issuance of secured debt 5,588,659 173,028,608 178,196,483 8,000,000 179,324,261
Repayment of secured debt   (164,753,059) (164,160,942) (4,764,241) (50,000,000)
Scheduled principal payments of secured debt (1,299,331) (881,005) (1,453,106) (4,160,385) (862,320)
Prepaid debt issuance costs   (1,805,431)     (42,000)
Debt issuance costs     (1,825,431) (480,950) (1,666,788)
Gross proceeds from issuance of common stock   15,170,192 15,367,193 37,371,916 37,910,737
Offering costs (326,444) (1,809,770) (2,508,610) (3,634,282) (4,387,423)
Proceeds from issuance of Series C units   573,002 659,151 1,220,331 3,197,083
Redemption of common stock (288,867) (674,336) (4,132,001) (1,860,904) (419,094)
Proceeds from issuance of preferred equity in our Operating Partnership         15,000,000
Redemption of preferred equity in our Operating Partnership         (15,000,000)
Preferred equity in our Operating Partnership issuance costs         (189,920)
Series E Preferred stock issuance costs (110,692)        
Distributions paid to common stockholders (4,469,814) (4,194,779) (8,598,699) (7,626,356) (6,160,627)
Distributions paid to noncontrolling interest in our Operating Partnership (170,045) (169,886) (340,865) (341,104) (341,025)
Distributions paid to preferred stockholders (6,250,714) (6,236,717) (12,516,374) (12,530,766) (5,218,750)
Preferred stock issuance costs         (1,400,277)
Proceeds from issuance of Series D preferred units     35,000,000    
Payments of Series D Preferred unit issuance costs     (373,312)    
Distributions paid to preferred unitholders in our Operating Partnership     (361,667)   (271,250)
Net cash provided by (used in) financing activities (6,350,248) 8,246,819 32,951,820 11,193,259 299,472,607
Impact of foreign exchange rate changes on cash and restricted cash (71,565) 671,828 280,852 (1,299,322) (370,083)
Net change in cash, cash equivalents and restricted cash (2,681,360) (1,394,897) (7,647,403) (8,142,507) 17,916,527
Cash, cash equivalents and restricted cash, beginning of period 9,918,161 17,565,564 17,565,564 25,708,071 7,791,544
Cash, cash equivalents and restricted cash, end of period 7,236,801 16,170,667 9,918,161 17,565,564 25,708,071
Supplemental disclosures and non-cash transactions:          
Cash paid for interest, net of amounts capitalized 8,756,932 6,821,587 17,844,314 17,208,371 18,819,476
Offering costs included in accounts payable and accrued liabilities   (882,357) (1,334,105) 588,163 661,400
Other assets in due to affiliates 725,753        
Interest rate swap contract in other assets 161,535 1,234,991 1,302,337 467,719 145,375
Interest rate swap contracts in accounts payable and accrued liabilities 171,871 371,144 247,942 368,600 170,708
Foreign currency hedge contract in other assets   1,190,074   1,281,151  
Foreign currency translation adjustment (1,453,069) 2,475,802 (2,240,708) 4,808,321 (57,174)
Deposits applied to investments in unconsolidated real estate ventures       328,545  
Issuance of shares pursuant to distribution reinvestment plan 3,337,776 3,271,464 6,666,207 5,736,254 4,391,918
Distributions payable to common and preferred stockholders 5,487,597 4,405,393 4,650,971 4,380,620 4,174,068
Distributions payable to noncontrolling interests in our Operating Partnership 28,029 28,029 28,964 28,885 28,964
Real estate and construction in process in accounts payable and accrued liabilities 885,307 1,834,367 701,112 1,658,865 913,229
Series E Preferred stock issuance costs in due to affiliates 348,381        
Redemption of common stock in accounts payable and accrued liabilities 75,000 $ 3,106,935 $ 193,867 $ 442,933 118,691
Distribution of common stock         6,586,579
Deposits on acquisition of real estate facilities in due to affiliates         333,495
Unrealized derivative adjustment         576,497
Deposits applied to acquisition of real estate         1,076,020
Series E Preferred Stock          
Cash flows from financing activities:          
Gross proceeds from issuance of preferred stock $ 977,000       $ 150,000,000