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Note 6 - Mortgage and Other Indebtedness - Scheduled Principal Repayments and Maturities (Details) - USD ($)
$ in Thousands
Jun. 30, 2021
Dec. 31, 2020
Debt Disclosure [Abstract]    
Remainder of 2021 [1] $ 4,707  
2022 20,914  
2023 111,733  
2024 13,133  
2025 10,665  
2026 46  
Total 161,198  
Unamortized debt discounts and issuance costs, net (2,438)  
Total Mortgage and Other Indebtedness $ 158,760 $ 122,060
[1]

Includes the maturity of the Lamar Station Plaza East loan of approximately $3.5 million that was modified in July 2021 to extend the maturity date to July 2022 as described above under the heading “—Mortgage Indebtedness”.