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OTHER ASSETS - Components of Other Assets (Details) - USD ($)
9 Months Ended 12 Months Ended
Oct. 16, 2017
Sep. 30, 2017
Dec. 31, 2016
Other Assets      
Income Property Tenant Receivables   $ 303,326 $ 125,383
Income Property Straight-line Rent Adjustment   2,269,988 1,773,946
Interest Receivable from Commercial Loan Investments   73,739 72,418
Cash Flow Hedge   409,985 416,590
Infrastructure Reimbursement Receivables   2,381,038 3,844,236
Golf Operations Receivables   219,015 325,510
Deferred Deal Costs   357,108 745,878
Prepaid Expenses, Deposits, and Other   2,559,423 2,165,127
Total Other Assets   8,573,622 9,469,088
Community Development District      
Other Assets      
Infrastructure Reimbursement Receivables     1,100,000
Infrastructure reimbursements received   1,100,000  
NADG      
Other Assets      
Infrastructure Reimbursement Receivables     250,000
Infrastructure reimbursements received   250,000  
Tanger      
Other Assets      
Infrastructure Reimbursement Receivables     $ 1,750,000
Reimbursement repayment term     10 years
Infrastructure reimbursement receivables, installment payment amounts     $ 175,000
Infrastructure reimbursement receivable, discount     191,000
Infrastructure reimbursements received $ 175,000    
Sam's Club      
Other Assets      
Infrastructure Reimbursement Receivables     $ 990,000
Reimbursement repayment term     9 years
Infrastructure reimbursement receivables, installment payment amounts     $ 110,000
Infrastructure reimbursement receivable, discount     $ 80,000
Infrastructure reimbursements received   $ 110,000