Annual report pursuant to Section 13 and 15(d)

Mortgages, Loans Payable And Other Obligations (Schedule Of Principal Payments) (Details)

v3.20.4
Mortgages, Loans Payable And Other Obligations (Schedule Of Principal Payments) (Details)
$ in Thousands
Dec. 31, 2020
USD ($)
Debt Disclosure [Abstract]  
Scheduled Amortization, 2021 $ 590
Scheduled Amortization, 2022 550
Scheduled Amortization, 2023 2,047
Scheduled Amortization, 2024 3,403
Scheduled Amortization, 2025 3,300
Schedule Amortization 2026 12,822
Scheduled Amortization, Sub-total 22,712
Adjustment for unamortized debt discount/premium, net December 31, 2020 (1,504)
Unamortized deferred financing costs (15,561)
Scheduled Amortization, Total 5,647
Principal Maturities, 2021 28,800
Principal Maturities, 2022 440,357
Principal Maturities, 2023 376,457
Principal Maturities, 2024 469,545
Principal Maturities, 2026 658,000
Principal Maturities, Thereafter 822,991
Principal Maturities, Sub-total 2,796,150
Principal Maturities, Total 2,796,150
Total, 2021 29,390
Total, 2022 440,907
Total, 2023 378,504
Total, 2024 472,948
Total, 2025 3,300
Total, 2026 670,822
Total, Thereafter 822,991
Total, Sub-total 2,818,862
Adjustment for unamortized debt discount/premium, net December 31, 2020 (1,504)
Total, Unamortized deferred financing costs (15,561)
Total debt $ 2,801,797