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Other Assets - Components of Other Assets (Details) - USD ($)
12 Months Ended
Jan. 01, 2017
Dec. 31, 2016
Dec. 31, 2015
Income Property Tenant Receivables   $ 125,383 $ 830,574
Income Property Straight-line Rent Adjustment   1,773,946 1,781,798
Interest Receivable from Commercial Loan Investments   72,418 155,163
Cash Flow Hedge - Interest Rate Swap   416,590  
Infrastructure Reimbursement Receivables   3,844,236 1,306,602
Golf Operations Receivables   325,510 253,358
Deferred Deal Costs   745,878 520,308
Prepaid Expenses, Deposits, and Other   2,165,127 1,187,021
Total Other Assets   9,469,088 $ 6,034,824
Community Development District      
Infrastructure Reimbursement Receivables   1,100,000  
Community Development District | Subsequent Event [Member]      
Infrastructure reimbursements received $ 1,100,000    
NADG - First Parcel [Member]      
Infrastructure Reimbursement Receivables   250,000  
NADG - First Parcel [Member] | Subsequent Event [Member]      
Infrastructure reimbursements received 250,000    
Tanger Outlet [Member]      
Infrastructure Reimbursement Receivables   $ 1,750,000  
Reimbursement repayment term, in years   10 years  
Infrastructure reimbursement receivables, installment payment amounts   $ 175,000  
Infrastructure reimbursement receivable, discount   191,000  
Sam’s Club [Member]      
Infrastructure Reimbursement Receivables   $ 990,000  
Reimbursement repayment term, in years   9 years  
Infrastructure reimbursement receivables, installment payment amounts   $ 110,000  
Infrastructure reimbursement receivable, discount   $ 80,000  
Sam’s Club [Member] | Subsequent Event [Member]      
Infrastructure reimbursements received $ 110,000