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Supplemental Cash Flows Information (Tables)
12 Months Ended
Dec. 31, 2020
Supplemental Cash Flow Elements [Abstract]  
Schedule of Cash Flow, Supplemental Disclosures
The following presents the schedule of interest paid and other supplemental cash flow information:
For the Year Ended
December 31,
202020192018
Cash paid for interest$27,127 $29,430 $61,587 
Cash - Beginning of period
Cash and cash equivalents$51,179 $36,358 $42,705 
Restricted cash32,082 70,207 45,637 
$83,261 $106,565 $88,342 
Cash - End of Period
Cash and cash equivalents$36,761 $51,179 $36,358 
Restricted cash50,206 32,082 70,207 
$86,967 $83,261 $106,565 
Proceeds from mortgages, notes and bonds payable
Proceeds from mortgages and notes payable$10,942 $25,675 $123,345 
Proceeds from bonds19,785 78,125 59,213 
$30,727 $103,800 $182,558 
Payment of mortgages, notes and bonds payable
Recurring payment on mortgages and notes payable$12,144 $51,977 $124,616 
Bond payments19,592 21,742 — 
$31,736 $73,719 $124,616 

The following is a schedule of noncash investing and financing activities:
For the Year Ended
December 31,
202020192018
Property acquired in exchange for note payable$3,350 $1,155 $1,895 
Note receivable issued in exchange for property1,761 — — 
Property acquired in exchange for note receivable— 1,800 1,735 
Debt assumed in sale of properties8,238 — 31,175