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Concentrations of Risk (Tables)
3 Months Ended
Mar. 31, 2020
Risks and Uncertainties [Abstract]  
Schedule of Diversification of Portfolio by Region and Property Type
The following table represents the diversification of the Account’s portfolio by region and property type as of March 31, 2020 (unaudited):
Diversification by Fair Value(1)
 
West
 
East
 
South
 
Midwest
 
Total
Office
13.2
%
 
18.7
%
 
5.3
%
 
%
 
37.2
%
Apartment
10.0
%
 
6.6
%
 
8.1
%
 
1.0
%
 
25.7
%
Retail
6.8
%
 
3.9
%
 
8.0
%
 
0.9
%
 
19.6
%
Industrial
9.1
%
 
1.6
%
 
4.6
%
 
0.5
%
 
15.8
%
Other(2)
0.6
%
 
0.5
%
 
0.6
%
 
%
 
1.7
%
Total
39.7
%
 
31.3
%
 
26.6
%
 
2.4
%
 
100.0
%

(1) 
Wholly-owned properties are represented at fair value and gross of any debt, while joint venture properties are represented at the net equity value.
(2) 
Represents interests in Storage Portfolio investments, a hotel investment and land.
Properties in the “West” region are located in: AK, AZ, CA, CO, HI, ID, MT, NM, NV, OR, UT, WA, WY.
Properties in the “East” region are located in: CT, DC, DE, KY, MA, MD, ME, NC, NH, NJ, NY, PA, RI, SC, VA, VT, WV.
Properties in the “South” region are located in: AL, AR, FL, GA, LA, MS, OK, TN, TX.
Properties in the “Midwest” region are located in: IA, IL, IN, KS, MI, MN, MO, ND, NE, OH, SD, WI.