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OTHER ASSETS (Details)
Jun. 30, 2020
USD ($)
instrument
Dec. 31, 2019
USD ($)
Other Assets    
Income Property Tenant Receivables $ 1,915,168 $ 532,636
Income Property Straight-line Rent Adjustment 5,011,351 3,352,245
Interest Receivable from Commercial Loan Investment 6,038 96,604
Operating Leases - Right-of-Use Asset 305,196 363,631
Golf Rounds Surcharge - LPGA 498,865 549,251
Cash Flow Hedge - Interest Rate Swap   99,021
Infrastructure Reimbursement Receivables 1,605,980 1,591,445
Deferred Deal Costs   4,787
Prepaid Expenses, Deposits, and Other 2,184,141 3,113,929
Total Other Assets 11,526,739 $ 9,703,549
COVID-19    
Other Assets    
Income Property Straight-line Rent Adjustment 1,000,000.0  
Tanger    
Other Assets    
Infrastructure Reimbursement Receivables $ 1,100,000  
Number of installments to repay infrastructure reimbursement receivable | instrument 7  
Infrastructure reimbursement receivables, installment payment amounts $ 175,000  
Infrastructure reimbursement receivable, discount 124,000  
Sam's Club    
Other Assets    
Infrastructure Reimbursement Receivables $ 505,000  
Number of installments to repay infrastructure reimbursement receivable | instrument 5  
Infrastructure reimbursement receivables, installment payment amounts $ 110,000  
Infrastructure reimbursement receivable, discount $ 45,000