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OTHER ASSETS (Details)
$ in Thousands
Dec. 31, 2021
USD ($)
installment
Dec. 31, 2020
USD ($)
Other Assets    
Income Property Tenant Receivables $ 885 $ 2,330
Income Property Straight-line Rent Adjustment and Covid-19 Deferral Balance 5,180 4,686
Operating Leases, Right-of-Use Asset $ 168 $ 246
Operating Lease, Right-of-Use Asset, Statement of Financial Position [Extensible Enumeration] Total Other Assets Total Other Assets
Golf Rounds Surcharge $ 338 $ 454
Cash Flow Hedge - Interest Rate Swap 1,543  
Infrastructure Reimbursement Receivables 1,080 1,336
Prepaid Expenses, Deposits, and Other 3,526 1,693
Due from Alpine Income Property Trust, Inc. 1,653 666
Financing Costs, Net of Accumulated Amortization 524 769
Total Other Assets 14,897 12,180
COVID-19    
Other Assets    
Income Property Straight-line Rent Adjustment and Covid-19 Deferral Balance 100 $ 1,000
Tanger    
Other Assets    
Infrastructure Reimbursement Receivables $ 800  
Number of installments to repay infrastructure reimbursement receivable | installment 5  
Infrastructure reimbursement receivables, installment payment amounts $ 200  
Infrastructure reimbursement receivable, discount $ 100  
Sam's Club    
Other Assets    
Number of installments to repay infrastructure reimbursement receivable | installment 3  
Infrastructure reimbursement receivables, installment payment amounts $ 100  
Infrastructure reimbursement receivable, discount 300  
Sam's Club | Maximum    
Other Assets    
Infrastructure reimbursement receivable, discount $ 30