7Baggers

LTC Properties, Inc
(NYSE:LTC) 

LTC stock logo

LTC is a real estate investment trust (REIT) investing in seniors housing and health care properties primarily through sale-leasebacks, mortgage financing, joint-ventures and structured finance solutions including preferred equity and mezzanine lending. LTC holds 181 investments in 27 states with 29...

Founded: 1992
Full Time Employees: 22
Sector: Real Estate
Industry: REIT-Healthcare Facilities

Share this website to your friends
• Market Cap:
• Exchange:
• Shs Outstanding:
• Employees:
• Beta:
• Return on Equity (ROE) ttm:
• Return on Assets (ROA) ttm:
• EPS ttm:
• Book value per Share:
• Cash per Share:
• Current ast per Share:
• P/E ttm:
• P/E forward:
• P/E ttm high:
• P/E ttm low:
• P/S ttm:
• P/B ttm:
• P/FCF ttm:
• PEG ratio:
• Cash Ratio ttm:
• Quick Ratio ttm:
• Current Ratio ttm:
• Gross Mgn ttm:
• EBITDA Mgn ttm:
• Operating Mgn ttm:
• Net Income Mgn ttm:
• Trailing Div yield:
• Forward Div yield:
• Payout Ratio ttm:
• Ex-Dividend date:
• Target Price High:
• Target Price Low:
• Target Price Mean:
• Number of Analysts:
• Debt Ratio ttm:
• Debt to Equity ttm:
• Total Net Debt:
At a glance:
Bull Thesis:
Bear Thesis:
Main Competitors:
Moat:
Income Statements:
Quarterly
Annual
    Unit: USD2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-09-30 2011-06-30 2011-03-31 2010-09-30 2010-06-30 2010-03-31 2009-09-30 2009-06-30 2008-06-30 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2005-03-31 2003-12-31 
                                                                          
      revenues:
                                                                          
      rental income
    26,339,000 26,708,000 27,842,000 30,177,000 31,444,000 34,814,000 32,258,000 31,657,000 33,549,000 32,489,000 31,589,000 31,537,000 31,735,000 34,707,000 31,585,000 31,628,000 30,324,000 30,028,000 29,320,000 29,804,000 31,973,000 37,774,000 30,010,000 20,275,000 38,035,000 38,189,000 38,665,000 38,277,000 28,024,000 32,759,000 34,211,000 33,930,000 34,505,000 34,124,000 33,233,000 35,265,000 35,035,000 34,822,000 33,753,000 33,072,000 31,880,000 30,755,000 28,531,000 27,116,000 26,678,000 26,474,000 25,098,000 25,025,000 25,252,000 24,645,000 24,539,000 24,511,000 22,295,000 21,175,000 20,872,000 19,620,000 19,337,000 18,182,000 16,384,000 16,050,000 15,610,000 14,961,000 14,951,000 14,625,000 14,634,000 14,475,000 14,430,000 14,385,000 15,872,000  
      resident fees and services
    49,585,000 37,963,000 22,203,000 11,950,000                                                                   
      interest income from financing receivables
    8,255,000 7,133,000 7,096,000 7,084,000 7,002,000 7,002,000 7,001,000 3,830,000 3,830,000 3,830,000 3,832,000 3,830,000 3,751,000                                                          
      interest income from mortgage loans
    10,229,000 10,308,000 9,856,000 9,680,000 9,179,000 9,374,000 10,733,000 12,661,000 12,448,000 12,308,000 12,247,000 11,926,000 11,244,000 10,488,000 10,379,000 10,097,000 9,636,000 9,032,000 7,924,000 7,933,000 7,922,000 7,909,000 7,890,000 7,820,000 7,777,000 7,683,000 7,646,000 7,351,000 7,311,000 7,290,000 7,087,000 7,007,000 6,816,000 6,719,000 6,677,000 6,625,000 6,748,000 6,974,000 6,958,000 6,811,000 6,578,000 6,342,000 6,117,000 5,053,000 4,607,000 4,108,000 4,213,000 4,139,000 4,093,000 1,086,000 1,050,000 1,059,000 1,398,000 1,431,000 1,532,000 1,582,000 1,613,000 1,656,000 1,868,000 1,836,000 1,979,000 2,061,000 2,106,000 2,577,000 2,658,000 2,628,000 3,785,000    
      interest and other income
    1,003,000 2,181,000 2,293,000 1,349,000 1,406,000 1,392,000 5,791,000 1,968,000 1,539,000 1,568,000 1,635,000 953,000 2,770,000 1,239,000 1,182,000 1,299,000 827,000 381,000 228,000 392,000 385,000 590,000 273,000 386,000 598,000 591,000 808,000 638,000 521,000 3,538,000 478,000 535,000 489,000 886,000 1,336,000 578,000 839,000 345,000 131,000 113,000 146,000 296,000 295,000 218,000 195,000 173,000 230,000 63,000 93,000 94,000 92,000 93,000 96,000 484,000 236,000 227,000 230,000 416,000 265,000 301,000 276,000 306,000 328,000 649,000 555,000 1,143,000 1,578,000 875,000 2,853,000  
      total revenues
    95,411,000 84,293,000 69,290,000 60,240,000 49,031,000 52,582,000 55,783,000 50,116,000 51,366,000 50,195,000 49,303,000 48,246,000 49,500,000 47,839,000 43,503,000 43,024,000 40,787,000 39,441,000 37,472,000 38,129,000 40,280,000 46,273,000 38,173,000 28,481,000 46,410,000 46,463,000 47,119,000 46,266,000 35,856,000 43,587,000 41,776,000 41,472,000 41,810,000 41,729,000 41,246,000 42,468,000 42,622,000 42,141,000 40,842,000 39,996,000 38,604,000 37,393,000 34,943,000 32,387,000 31,480,000 30,755,000 29,541,000 29,227,000 29,438,000 25,825,000 25,681,000 25,663,000 23,789,000 23,090,000 22,640,000 21,429,000 21,180,000 20,254,000 18,517,000 18,187,000 17,865,000 17,328,000 17,385,000 17,851,000 17,847,000 18,246,000 19,793,000 18,729,000 22,871,000  
      yoy
    94.59% 60.31% 24.21% 20.20% -4.55% 4.76% 13.14% 3.88% 3.77% 4.92% 13.33% 12.14% 21.36% 21.29% 16.09% 12.84% 1.26% -14.76% -1.84% 33.88% -13.21% -0.41% -18.99% -38.44% 29.43% 6.60% 12.79% 11.56% -14.24% 4.45% 1.28% -2.35% -1.91% -0.98% 0.99% 6.18% 10.41% 12.70% 16.88% 23.49% 22.63% 21.58% 18.29% 10.81% 6.94% 19.09% 15.03% 13.89% 23.75% 11.84% 13.43% 19.76% 12.32% 14.00% 22.27% 17.83% 18.56% 16.89% 6.51% 1.88% 0.10% -5.03% -12.17% -4.69% -21.97%      
      qoq
    13.19% 21.65% 15.02% 22.86% -6.75% -5.74% 11.31% -2.43% 2.33% 1.81% 2.19% -2.53% 3.47% 9.97% 1.11% 5.48% 3.41% 5.25% -1.72% -5.34% -12.95% 21.22% 34.03% -38.63% -0.11% -1.39% 1.84% 29.03% -17.74% 4.34% 0.73% -0.81% 0.19% 1.17% -2.88% -0.36% 1.14% 3.18% 2.12% 3.61% 3.24% 7.01% 7.89% 2.88% 2.36% 4.11% 1.07% -0.72% 13.99% 0.56% 0.07% 7.88% 3.03% 1.99% 5.65% 1.18% 4.57% 9.38% 1.81% 1.80% 3.10% -0.33% -2.61% 0.02% -2.19% -7.82% 5.68% -18.11%   
      expenses:
                                                                          
      interest expense
    10,782,000 10,588,000 8,791,000 8,014,000 7,913,000 8,365,000 10,023,000 10,903,000 11,045,000 12,419,000 12,674,000 11,312,000 10,609,000 8,830,000 7,941,000 7,523,000 7,143,000 6,933,000 6,610,000 6,860,000 6,972,000 7,088,000 7,361,000 7,546,000 7,710,000 7,578,000 7,827,000 7,710,000 7,467,000 7,215,000 7,497,000 7,655,000 7,829,000 7,683,000 7,644,000 7,151,000 7,471,000 6,856,000 6,836,000 6,750,000 6,000,000 5,581,000 4,296,000 3,854,000 3,766,000 3,683,000 3,170,000 3,088,000 3,187,000 2,581,000 2,798,000 3,133,000 2,988,000 2,004,000 2,033,000 1,794,000 1,543,000 1,104,000 852,000 419,000 401,000 340,000 814,000 1,085,000 1,176,000 1,234,000 1,235,000 1,248,000 2,257,000  
      depreciation and amortization
    11,979,000 10,949,000 8,987,000 8,776,000 9,162,000 9,194,000 9,054,000 9,024,000 9,095,000 9,331,000 9,499,000 9,376,000 9,210,000 9,294,000 9,385,000 9,379,000 9,438,000 9,449,000 9,462,000 9,508,000 9,877,000 9,839,000 9,766,000 9,797,000 9,669,000 9,817,000 9,932,000 9,860,000 9,607,000 9,396,000 9,447,000 9,268,000 9,444,000 9,424,000 9,519,000 9,308,000 9,359,000 9,309,000 9,155,000 8,907,000 8,561,000 8,310,000 7,365,000 6,977,000 6,779,000 6,594,000 6,335,000 6,302,000 6,298,000 6,139,000 6,124,000 6,136,000 5,925,000 5,369,000 5,167,000 4,974,000 4,943,000 4,521,000 4,073,000 4,014,000 3,860,000 3,694,000 3,694,000 3,730,000 3,692,000 3,618,000 3,575,000 3,541,000 3,253,000  
      seniors housing operating expenses
    36,889,000 27,307,000 17,362,000 9,419,000                                                                   
      (recovery) provision for credit losses
    -684,000                    -9,000                                                  
      transaction costs
    688,000 487,000 587,000 6,706,000 441,000 140,000 33,000 380,000 266,000 607,000 329,000 91,000 117,000 100,000 629,000 67,000 32,000 162,000 4,046,000 133,000 92,000 102,000 63,000 64,000 70,000 90,000 75,000 200,000  65,000 9,000 6,000 4,000  34,000  22,000 83,000 2,000 4,000                               
      triple-net lease property tax expense
    2,394,000 2,312,000 2,581,000                                                                    
      general and administrative expenses
    8,582,000 8,179,000 7,523,000 8,447,000 6,971,000 7,227,000 6,765,000 6,760,000 6,491,000 5,942,000 5,959,000 6,091,000 6,294,000 6,299,000 5,888,000 5,711,000 5,808,000 5,772,000 5,318,000 5,337,000 5,033,000 5,216,000 4,814,000 4,580,000 5,100,000 4,541,000 4,745,000 4,596,000 4,571,000 4,801,000 4,879,000 4,716,000 4,797,000 4,243,000 4,144,000 4,386,000 4,740,000 4,548,000 4,464,000 4,117,000 4,457,000 3,954,000 3,739,000 3,952,000 3,499,000 3,265,000 2,914,000 2,704,000 2,949,000 2,676,000 2,869,000 3,418,000                   
      total expenses
    70,630,000 60,695,000 87,489,000 44,544,000 30,646,000 34,792,000 29,276,000 31,017,000 30,304,000 38,653,000 31,921,000 42,320,000 31,688,000 30,039,000 30,103,000 27,004,000 26,757,000 26,957,000 29,436,000 25,638,000 25,946,000 28,659,000 26,294,000 26,098,000 26,773,000 26,228,000 26,835,000 26,360,000 16,514,000 21,488,000 21,938,000 21,607,000 22,082,000 21,283,000 21,245,000 22,720,000 21,554,000 21,774,000 20,500,000 19,896,000 19,018,000 20,301,000 15,970,000 15,212,000 14,044,000 13,574,000 12,419,000 12,094,000 12,434,000 11,396,000 11,791,000 12,687,000 11,285,000 9,947,000 9,693,000 8,976,000 8,844,000 8,064,000 7,056,000 6,557,000 7,295,000 6,002,000 6,645,000 6,397,000 6,704,000 6,739,000 6,864,000 6,407,000 7,498,000  
      income before unconsolidated joint ventures, real estate dispositions and other items
    24,781,000 23,598,000 -18,199,000 15,696,000                                                                   
      gain on sale of real estate
    -10,000 78,057,000 -738,000 332,000 171,000 1,097,000 3,663,000 -32,000 3,251,000 16,751,000 4,870,000 302,000 15,373,000 21,000 -387,000 38,094,000 102,000 70,000 2,702,000 5,463,000 -773,000 44,000 30,000 189,000 43,854,000 -4,630,000 6,236,000 500,000  7,984,000 14,353,000 48,345,000  -1,240,000  5,054,000   1,780,000 1,802,000      3,819,000  1,140,000                       
      income from unconsolidated joint ventures
    295,000 2,214,000 439,000 439,000 3,665,000 703,000 692,000 671,000 376,000 377,000 375,000 376,000 376,000 377,000 376,000 376,000 375,000 376,000 376,000 376,000 289,000 145,000 56,000  231,000 415,000 760,000 128,000 1,085,000 761,000 746,000 726,000 631,000 628,000 615,000 575,000 445,000 299,000 289,000 278,000 272,000 276,000 674,000 753,000                           
      income tax provision
    -110,000                                                                      
      net income
    24,956,000 103,651,000 -18,540,000 16,548,000 22,221,000 19,590,000 30,862,000 19,738,000 24,689,000 28,670,000 22,627,000 6,604,000 33,561,000 18,198,000 13,389,000 54,490,000 14,507,000 12,930,000 11,114,000 18,330,000 13,850,000 17,665,000 12,338,000 1,952,000 63,722,000 12,631,000 27,280,000 20,534,000 20,427,000 30,844,000 34,937,000 68,936,000 20,359,000 19,834,000 20,616,000 25,377,000 21,513,000 20,666,000 22,411,000 22,180,000 19,858,000 17,954,000 19,647,000 17,928,000 17,552,000 21,000,000 17,122,000 18,273,000 17,004,000 17,286,000 12,903,000 12,976,000 12,504,000 13,113,000 12,932,000 12,423,000 12,262,000 12,154,000 11,562,000 11,630,000 10,570,000 11,326,000 10,740,000 11,377,000 11,158,000 11,421,000 12,843,000 12,385,000 21,504,000  
      yoy
    12.31% 429.10% -160.07% -16.16% -10.00% -31.67% 36.39% 198.88% -26.44% 57.54% 69.00% -87.88% 131.34% 40.74% 20.47% 197.27% 4.74% -26.80% -9.92% 839.04% -78.26% 39.85% -54.77% -90.49% 211.95% -59.05% -21.92% -70.21% 0.33% 55.51% 69.47% 171.65% -5.36% -4.03% -8.01% 14.41% 8.33% 15.11% 14.07% 23.72% 13.14% -14.50% 14.75% -1.89% 3.22% 21.49% 32.70% 40.82% 35.99% 31.82% -0.22% 4.45% 1.97% 7.89% 11.85% 6.82% 16.01% 7.31% 7.65% 2.22% -5.27% -0.83% -16.37% -8.14% -48.11%      
      qoq
    -75.92% -659.07% -212.04% -25.53% 13.43% -36.52% 56.36% -20.05% -13.89% 26.71% 242.63% -80.32% 84.42% 35.92% -75.43% 275.61% 12.20% 16.34% -39.37% 32.35% -21.60% 43.18% 532.07% -96.94% 404.49% -53.70% 32.85% 0.52% -33.77% -11.72% -49.32% 238.60% 2.65% -3.79% -18.76% 17.96% 4.10% -7.79% 1.04% 11.69% 10.60% -8.62% 9.59% 2.14% -16.42% 22.65% -6.30% 7.46% -1.63% 33.97% -0.56% 3.77% -4.64% 1.40% 4.10% 1.31% 0.89% 5.12% -0.58% 10.03% -6.67% 5.46% -5.60% 1.96% -2.30% -11.07% 3.70% -42.41%   
      net income margin %
    26.16% 122.97% -26.76% 27.47% 45.32% 37.26% 55.33% 39.38% 48.06% 57.12% 45.89% 13.69% 67.80% 38.04% 30.78% 126.65% 35.57% 32.78% 29.66% 48.07% 34.38% 38.18% 32.32% 6.85% 137.30% 27.19% 57.90% 44.38% 56.97% 70.76% 83.63% 166.22% 48.69% 47.53% 49.98% 59.76% 50.47% 49.04% 54.87% 55.46% 51.44% 48.01% 56.23% 55.36% 55.76% 68.28% 57.96% 62.52% 57.76% 66.94% 50.24% 50.56% 52.56% 56.79% 57.12% 57.97% 57.89% 60.01% 62.44% 63.95% 59.17% 65.36% 61.78% 63.73% 62.52% 62.59% 64.89% 66.13% 94.02%  
      income allocated to non-controlling interests
    -1,363,000 -1,456,000 -1,455,000 -1,456,000 -1,541,000 -1,507,000 -1,496,000 -377,000 -459,000 -440,000 -430,000 -430,000 -427,000 -259,000 -99,000 -107,000 -95,000 -92,000 -92,000 -91,000 -88,000 -92,000 -121,000 -82,000 -89,000 -89,000 -88,000 -88,000 -81,000 -78,000 -17,000                             -48,000           
      net income attributable to ltc properties, inc.
    23,593,000 102,195,000 -19,995,000 15,092,000 20,680,000 18,083,000 29,366,000 19,361,000 24,230,000 28,230,000 22,197,000 6,174,000 33,134,000 17,939,000 13,290,000 54,383,000 14,412,000 12,838,000 11,022,000 18,239,000 13,762,000 17,573,000 12,217,000 1,870,000 63,633,000 12,542,000 27,192,000 20,446,000 20,346,000 30,766,000 34,920,000                   17,286,000 12,903,000 12,976,000 12,495,000 13,103,000 12,921,000 12,375,000 12,214,000 12,106,000 11,514,000 11,582,000 10,522,000 11,250,000 10,664,000        
      income allocated to participating securities
    -156,000 -225,000 -154,000 -154,000 -163,000 -171,000 -201,000 -173,000 -165,000 -147,000 -147,000 -146,000 -205,000 -99,000 -131,000 -318,000 -137,000 -112,000 -113,000 -113,000 -120,000 -83,000 -103,000 -97,000 -263,000 -93,000 -112,000 -94,000 -92,000 -121,000 -138,000 -278,000 -88,000 -81,000 -80,000 -104,000 -97,000 -89,000 -90,000 -105,000 -101,000 -114,000 -121,000 -126,000 -123,000 -138,000 -123,000 -117,000 -103,000 -95,000 -91,000 -98,000        -58,000           
      net income available to common stockholders
    23,437,000 101,970,000 -20,149,000 14,938,000 20,517,000 17,912,000 29,165,000 19,188,000 24,065,000 28,083,000 22,050,000 6,028,000 32,929,000 17,840,000 13,159,000 54,065,000 14,275,000 12,726,000 10,909,000 18,126,000 13,642,000 17,490,000 12,114,000 1,773,000 63,370,000 12,449,000 27,080,000 20,352,000 20,254,000 30,645,000 34,782,000 68,658,000 20,271,000 19,753,000 20,536,000 25,273,000 21,416,000 20,577,000 22,321,000 22,075,000 19,757,000 17,840,000 18,708,000 16,984,000 16,611,000 20,043,000 16,181,000 17,338,000 16,083,000 16,373,000 11,994,000 12,060,000 11,583,000 12,194,000 12,009,000 11,472,000 11,311,000 5,393,000 5,571,000 7,739,000 6,694,000 7,431,000  7,530,000 8,289,000 7,195,000 8,609,000 8,146,000 17,157,000  
      earnings per common share:
                                                                          
      basic
    480 2,210 -440 330 450 400 660 440 560 680 540 150 800 430 330 1,370  320 280 460 350 450 310 50 1,600 320 680 510 510 780 880 1,740 510 500 520 640 540 530 570 580 530 370 530 480 470    470                      
      diluted
    480 2,190 -440 320 450 390 660 440 560 680 540 150 800 440 320 1,360  320 280 460 350 450 310 50 1,600 330 680 510 510 770 880 1,730 510 500 520 640 540 530 570 580 530 367.5 520 480 470    460                      
      weighted-average shares used for eps calculation
                                                                          
      basic
    48,543,000 46,230,000 46,123,000 45,714,000 45,333,000 43,743,000 43,868,000 43,171,000 42,891,000 41,272,000 41,153,000 41,145,000 41,082,000 39,894,000 40,270,000 39,492,000 39,199,000 39,156,000 39,177,000 39,169,000 39,100,000 39,179,000 39,061,000 39,055,000 39,539,000 39,571,000 39,586,000 39,577,000 39,532,000 39,477,000 39,487,000 39,471,000 39,451,000 39,409,000 39,428,000 39,414,000 39,366,000 38,388,000 39,057,000 37,969,000 37,446,000 35,590,000 35,341,000 35,299,000 35,277,000 34,617,000 34,605,000 34,597,000 34,586,000 34,553,000 32,913,000 30,365,000 30,253,000 30,213,000 30,189,000 30,137,000 30,135,000 26,310,000 24,930,000 23,643,000 23,283,000 23,108,000 23,081,000        
      diluted
    48,969,000 46,560,000 46,123,000 46,028,000 45,683,000 44,241,000 44,394,000 43,463,000 43,032,000 41,358,000 41,211,000 41,232,000 41,189,000 40,067,000 40,552,000 39,665,000 39,349,000 39,156,000 39,177,000 39,170,000 39,179,000 39,264,000 39,112,000 39,137,000 39,541,000 39,759,000 39,965,000 39,769,000 39,874,000 39,839,000 39,865,000 39,765,000 39,454,000 39,637,000 39,748,000 39,794,000 39,612,000 38,597,000 39,335,000 38,164,000 37,459,000 37,329,000 37,352,000 37,311,000 37,292,000 36,640,000 36,629,000 36,621,000 36,611,000 36,580,000 32,946,000 30,399,000 30,293,000 30,258,000 30,234,000 30,156,000 30,168,000 26,340,000 24,945,000 23,743,000 23,384,000 23,193,000 23,163,000        
      dividends declared and paid per common share
    570 427.5 570 570 570 427.5 570 570 570 427.5 570 570 570 427.5 570 570 570 427.5 570 570 570 427.5 570 570 570 427.5 570 570 570 427.5 570 570 570 427.5 570 570 570 405 540 540 540 382.5 510 510 510 382.5 510 510 510 460                     
      write-off of effective interest receivable
      41,455,000                                                                    
      provision for credit losses
     873,000 203,000 387,000 3,052,000 -201,000 215,000 703,000 24,000 3,571,000 189,000 187,000 1,731,000 363,500 795,000                                                        
      income tax benefit
     9,750 -42,000 81,000                                                                   
      property tax expense
       2,795,000 3,107,000 3,114,000 3,186,000 3,247,000 3,383,000 3,518,000 3,271,000 3,187,000 3,293,000 3,306,000 4,179,000 4,019,000 3,982,000 3,679,000 3,932,000 3,800,000 3,981,000 3,380,000 3,351,000 4,111,000 4,223,000 4,189,000 4,270,000 3,910,000 4,386,000                                          
      other operating income:
                                                                          
      operating income
        18,556,000 18,887,000 30,170,000 19,067,000 24,313,000 28,293,000 22,252,000 6,228,000 33,185,000 17,821,000 13,013,000 54,114,000 14,132,000 12,554,000 10,738,000 17,954,000 13,561,000 17,658,000 11,909,000 2,572,000 63,491,000 15,605,000 26,520,000 20,406,000 19,342,000 92,781,000 19,838,000 19,865,000 19,728,000 20,446,000 20,001,000 19,748,000 21,068,000 20,367,000 20,342,000 20,100,000 19,586,000 17,092,000 18,973,000 17,175,000 17,436,000 17,181,000 17,122,000 17,133,000                       
      yoy
        -23.68% -33.24% 35.58% 206.15% -26.73% 58.76% 71.00% -88.49% 134.82% 41.95% 21.19% 201.40% 4.21% -28.90% -9.83% 598.06% -78.64% 13.16% -55.09% -87.40% 228.25% -83.18% 33.68% 2.72% -1.96% 353.79% -0.81% 0.59% -6.36% 0.39% -1.68% -1.75% 7.57% 19.16% 7.22% 17.03% 12.33% -0.52% 10.81% 0.25%                           
      qoq
        -1.75% -37.40% 58.23% -21.58% -14.07% 27.15% 257.29% -81.23% 86.21% 36.95% -75.95% 282.92% 12.57% 16.91% -40.19% 32.39% -23.20% 48.27% 363.02% -95.95% 306.86% -41.16% 29.96% 5.50% -79.15% 367.69% -0.14% 0.69% -3.51% 2.22% 1.28% -6.27% 3.44% 0.12% 1.20% 2.62% 14.59% -9.91% 10.47% -1.50% 1.48% 0.34% -0.06%                        
      operating margin %
    0% 0% 0% 0% 37.85% 35.92% 54.08% 38.05% 47.33% 56.37% 45.13% 12.91% 67.04% 37.25% 29.91% 125.78% 34.65% 31.83% 28.66% 47.09% 33.67% 38.16% 31.20% 9.03% 136.80% 33.59% 56.28% 44.11% 53.94% 212.86% 47.49% 47.90% 47.18% 49.00% 48.49% 46.50% 49.43% 48.33% 49.81% 50.26% 50.74% 45.71% 54.30% 53.03% 55.39% 55.86% 57.96% 58.62% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0%  
      impairment loss
             3,265,000  12,076,000 434,000                                                          
      interest income from financing receivable
                 1,405,000 357,000                                                        
      impairment charges
                 321,500 1,286,000       3,036,000 941,000                                                
      provision (recovery) for credit losses
                   305,000 354,000 962,000 68,000                                                    
      gain from property insurance proceeds
                          373,000                                                
      loss on unconsolidated joint ventures
                         -138,000  -620,000                                               
      comprehensive income:
                                                                          
      comprehensive income
                     10,823,500 11,114,000 18,330,000 13,850,000 17,665,000 12,338,000 1,952,000 63,722,000 12,631,000 27,280,000 20,534,000 20,427,000 30,844,000 34,937,000 68,936,000 20,359,000                                      
      (recovery) provision for doubtful accounts
                         -2,000 -2,000   38,250 -14,000       -67,000 -96,000  -38,000                                  
      provision for doubtful accounts
                            1,000    83,000         212,000 43,000 118,000  156,000 31,000 429,000                           
      provision (recovery) for doubtful accounts
                               84,000  11,000 106,000  8,000                                      
      recovery of written-off straight-line rent receivable
                                -9,600,000                                          
      recovery for doubtful accounts
                                   -38,000                                       
      impairment on receivables
                                     470,000  1,880,000                                   
      income allocated to preferred stockholders
                                              -818,000 -818,000 -818,000 -819,000 -818,000 -818,000 -818,000 -818,000 -818,000 -818,000        -3,785,000           
      acquisition costs
                                             50,000 539,000          205,000 141,000 41,000 60,000 35,000              
      income from unconsolidated joint venture
                                                116,000                          
      income from continuing operations
                                                 21,000,000 17,122,000 18,273,000  14,429,000 13,890,000 12,976,000 12,504,000 13,143,000 12,947,000 12,453,000 12,336,000 12,190,000 11,461,000   11,326,000 10,740,000 11,377,000 11,066,000 11,421,000 12,843,000 12,236,000 21,504,000  
      discontinued operations:
                                                                          
      income from discontinued operations
                                                              101,000            
      net income from discontinued operations
                                                     238,000 27,000        101,000      92,000   149,000   
      basic earnings per common share
                                                               330 290          
      continuing operations
                                                 580 470 500  390 390 400 380 400 400 380 380 210 220   320 300        
      discontinued operations
                                                     80 -30                    
      diluted earnings per common share
                                                               330 290          
      loss on sale of real estate
                                                                          
      net loss from discontinued operations
                                                                          
      earnings per common share
                                                                          
      basic
    480 2,210 -440 330 450 400 660 440 560 680 540 150 800 430 330 1,370  320 280 460 350 450 310 50 1,600 320 680 510 510 780 880 1,740 510 500 520 640 540 530 570 580 530 370 530 480 470    470                      
      diluted
    480 2,190 -440 320 450 390 660 440 560 680 540 150 800 440 320 1,360  320 280 460 350 450 310 50 1,600 330 680 510 510 770 880 1,730 510 500 520 640 540 530 570 580 530 367.5 520 480 470    460                      
      gain on real estate assets
                                                     2,619,000 -1,014,000                    
      gain on sale of assets
                                                          16,000          92,000   149,000   
      operating and other expenses
                                                        2,167,000 2,433,000 2,452,000 2,149,000 2,327,000 2,449,000 1,914,000 1,930,000 1,973,000 1,766,000 1,918,000 1,509,000 1,811,000 1,793,000 1,938,000 1,589,000 1,915,000  
      loss from discontinued operations
                                                                          
      net gain from discontinued operations
                                                                          
      discontinued operation
                                                                          
      (recovery) provisions for doubtful accounts
                                                                          
      provisions for doubtful accounts
                                                              217,000 194,000 1,061,000 202,000 219,000        
      net income allocable to common stockholders
                                                              220   320 6,843,000        
      net income allocable to common stockholders:
                                                                          
      basic earnings per common share:
                                                                          
      diluted earnings per common share:
                                                                          
      income allocated to noncontrolling interests
                                                                          
      legal expenses
                                                                   73,000 25,000 94,000 116,000 29,000 73,000  
      income before non-operating income and minority interest
                                                                   11,454,000 11,143,000 11,507,000  12,322,000 15,373,000  
      minority interest
                                                                   77,000   86,000    
      preferred stock buyback
                                                                    989,000      
      preferred stock dividends
                                                                          
      net income per common share from continuing operations net of preferred stock dividends and preferred stock buyback:
                                                                          
      basic
                                                                   330 360 310 370 340   
      diluted
                                                                   330 360 310 360 340   
      net income per common share from discontinued operations:
                                                                          
      net income per common share available to common stockholders:
                                                                          
      basic weighted average shares outstanding
                                                                   22,969,000 22,862,000 23,105,000 23,529,000 23,480,000 21,491,000  
      reclassification adjustment
                                                                          
      total comprehensive income
                                                                   11,337,000 11,118,000 11,290,000 12,437,000 12,225,000 17,894,000  
      net income per common share from continuing operations net of preferred stock dividends:
                                                                          
      basic
                                                                   330 360 310 370 340   
      diluted
                                                                   330 360 310 360 340   
      unrealized gain on available-for-sale securities
                                                                          
      interest income from mortgage loans and notes receivable
                                                                       3,469,000 2,682,000  
      interest income from remic certificates
                                                                        1,464,000  
      non-operating income
                                                                        6,217,000  
      preferred stock redemption charge
                                                                          
      net income (loss) per common share from continuing operations net of preferred stock dividends:
                                                                          
      basic
                                                                        800  
      diluted
                                                                        740  
      net income per common share from discontinued operations:
                                                                          
      basic
                                                                   330 360 310 370 340   
      diluted
                                                                   330 360 310 360 340   
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-09-30 2011-06-30 2011-03-31 2010-09-30 2010-06-30 2010-03-31 2009-09-30 2009-06-30 2009-03-31 2008-09-30 2008-06-30 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 2003-12-31 2003-09-30 2003-06-30 2003-03-31 2002-12-31 2002-09-30 2002-06-30 2002-03-31 
                                                                                              
        assets
                                                                                              
        investments:
                                                                                              
        land
      137,170,000 128,590,000 121,884,000 109,881,000 111,223,000 118,209,000 118,382,000 119,141,000 120,137,000 121,725,000 123,919,000 124,901,000 123,338,000 124,665,000 124,665,000 125,786,000 120,203,000 123,239,000 123,239,000 123,239,000 126,331,000 127,774,000 127,774,000 127,774,000 127,774,000 126,703,000 129,403,000 126,028,000 125,898,000 125,358,000 125,533,000 125,882,000 121,496,000 124,041,000 121,897,000 122,851,000 115,793,000 116,096,000 114,630,000 113,746,000 108,867,000 106,841,000 98,486,000 85,184,000 83,858,000 80,024,000 79,661,000 79,211,000 80,993,000 76,751,000 75,094,000 75,407,000 63,121,000 60,362,000 58,462,000 50,409,000 48,230,000 47,393,000 38,595,000 38,951,000 38,026,000 34,971,000 34,971,000 34,971,000 34,639,000 34,639,000 34,639,000 34,942,000 34,942,000 34,942,000 35,048,000 35,048,000 33,650,000 33,376,000 33,528,000 27,056,000 26,905,000 26,156,000 26,356,000 25,608,000 25,343,000 25,893,000 25,934,000 26,112,000 26,112,000 27,164,000 27,803,000 28,096,000 
        buildings and improvements
      1,584,390,000 1,482,075,000 1,402,825,000 1,148,060,000 1,146,891,000 1,212,853,000 1,217,954,000 1,216,774,000 1,219,622,000 1,235,600,000 1,260,891,000 1,286,615,000 1,258,721,000 1,273,025,000 1,270,722,000 1,284,151,000 1,240,713,000 1,285,318,000 1,283,859,000 1,281,066,000 1,314,707,000 1,324,227,000 1,320,990,000 1,317,917,000 1,310,403,000 1,295,899,000 1,339,543,000 1,320,895,000 1,313,952,000 1,290,352,000 1,280,491,000 1,269,675,000 1,236,605,000 1,262,335,000 1,227,044,000 1,229,290,000 1,187,897,000 1,185,467,000 1,177,829,000 1,168,370,000 1,120,889,000 1,091,845,000 1,056,163,000 903,979,000 899,727,000 869,814,000 886,351,000 877,305,000 870,498,000 834,345,000 836,934,000 831,175,000 742,638,000 677,297,000 676,851,000 634,418,000 625,945,000 629,323,000                               
        accumulated depreciation and amortization
      -420,820,000 -408,906,000 -398,017,000 -392,516,000 -383,853,000 -405,884,000 -398,080,000 -390,863,000 -383,782,000 -387,751,000 -386,483,000 -393,449,000 -390,013,000 -389,182,000 -379,915,000 -374,170,000 -367,623,000 -374,606,000 -365,182,000 -355,745,000 -354,623,000 -349,643,000 -339,833,000 -330,098,000 -320,332,000 -312,642,000 -340,505,000 -332,364,000 -322,535,000 -312,959,000 -304,337,000 -301,458,000 -292,222,000 -304,117,000 -294,725,000 -288,442,000 -284,134,000 -275,861,000 -266,581,000 -260,971,000 -259,237,000 -251,265,000 -244,361,000 -237,024,000 -230,071,000 -223,315,000 -234,634,000 -228,323,000 -224,966,000 -212,495,000 -209,581,000 -204,646,000                                     
        owned real properties
      1,300,740,000 1,201,759,000                                                                                       
        financing receivables, net of credit loss reserve: 2026—2,869; 2025—3,631
      283,988,000                                                                                        
        mortgage loans receivable, net of credit loss reserve: 2026—3,928; 2025—3,849
      389,461,000                                                                                        
        real property investments
      1,974,189,000 1,942,878,000 1,169,150,000 907,883,000 916,719,000 925,848,000 942,314,000 949,300,000 956,366,000 987,965,000 1,007,775,000 1,024,120,000 996,121,000 1,019,218,000 1,026,182,000 1,035,767,000 1,025,606,000 1,033,951,000 1,041,916,000 1,053,072,000 1,090,927,000 1,102,358,000 1,108,931,000 1,115,593,000 1,117,845,000 1,136,816,000 1,132,271,000 1,118,389,000 1,121,145,000 1,106,581,000 1,107,043,000 1,097,929,000 1,086,061,000 1,086,089,000 1,060,597,000 1,064,869,000 1,020,726,000 1,025,702,000 1,025,878,000  970,519,000 947,421,000 910,288,000                                              
        notes receivable, net of credit loss reserve: 2026—258; 2025—259
      25,558,000                                                                                        
        investments in unconsolidated joint ventures
      12,558,000 12,524,000 18,342,000 17,793,000 17,602,000 30,602,000 30,602,000 30,504,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 19,340,000 11,340,000 7,069,000 1,023,000 19,061,000 19,003,000 24,426,000 27,521,000 27,515,000 30,615,000 30,511,000 30,397,000 30,289,000 29,898,000 29,862,000 29,702,000 26,181,000 25,221,000 23,932,000 24,036,000 24,042,000 24,042,000                                               
        investments
      2,012,305,000 1,981,017,000 1,962,468,000 1,680,447,000 1,650,862,000 1,674,140,000 1,739,272,000 1,785,567,000 1,711,912,000 1,741,093,000 1,759,791,000 1,757,462,000 1,710,979,000 1,562,668,000 1,562,459,000 1,493,130,000 1,452,997,000 1,426,070,000 1,338,760,000 1,343,193,000 1,381,126,000 1,385,414,000 1,387,968,000 1,388,778,000 1,409,071,000 1,427,845,000 1,427,435,000 1,418,083,000 1,412,532,000 1,392,850,000 1,392,805,000 1,376,223,000 1,366,135,000 1,356,296,000 1,328,722,000 1,331,358,000 1,286,601,000 1,297,151,000 1,284,157,000 1,282,100,000 1,217,614,000 1,188,992,000 1,135,907,000 976,892,000 937,381,000                                            
        other assets:
                                                                                              
        cash and cash equivalents
      21,667,000 14,387,000 17,933,000 7,609,000 23,295,000 9,414,000 35,040,000 6,174,000 9,010,000 20,286,000 11,302,000 7,026,000 5,538,000 10,379,000 6,478,000 6,401,000 4,393,000 5,161,000 45,459,000 5,714,000 8,201,000 7,772,000 22,811,000 50,370,000 30,888,000 4,244,000 3,960,000 3,207,000 6,715,000 2,656,000 20,408,000 4,260,000 3,784,000 5,213,000 3,842,000 9,299,000 8,732,000 7,991,000 3,613,000 17,756,000 24,280,000 12,942,000 11,729,000 8,051,000 3,417,000 25,237,000 7,589,000 8,064,000 7,542,000 60,338,000 63,315,000 9,621,000 8,274,000 10,313,000 3,297,000 5,214,000 6,395,000 23,390,000 12,493,000 5,498,000 19,210,000 5,076,000 14,108,000 21,688,000 16,150,000 13,909,000 25,868,000 49,160,000 63,562,000 30,973,000 29,887,000 45,954,000 51,362,000 54,824,000 3,941,000 13,962,000 12,819,000 44,897,000 2,793,000 3,748,000 17,919,000 11,476,000 3,233,000 8,888,000 8,001,000 22,968,000 14,701,000 3,217,000 
        debt issue costs related to revolving line of credit
      4,424,000 4,742,000 5,096,000 809,000 1,218,000 1,410,000 1,548,000 1,621,000 1,786,000 1,557,000 1,719,000 1,925,000 2,132,000 2,321,000 2,480,000 2,681,000 2,883,000                                                                        
        interest receivable
      23,278,000 22,720,000 21,535,000 64,454,000 61,754,000 60,258,000 58,421,000 57,465,000 55,842,000 53,960,000 54,605,000 50,593,000 48,079,000 46,000,000 44,290,000 42,713,000 41,165,000 39,522,000 37,476,000 35,977,000 34,491,000 32,746,000 31,248,000 29,701,000 28,097,000 26,586,000 25,099,000 23,640,000 22,176,000 20,732,000 19,290,000 17,864,000 16,456,000 15,050,000 13,650,000 12,255,000 10,868,000 9,683,000 8,434,000 7,087,000 5,815,000 4,536,000 3,384,000 2,129,000 1,167,000 597,000 661,000 655,000 677,000 726,000 741,000 802,000 1,035,000 1,062,000 1,303,000 1,339,000 1,535,000 1,379,000 1,444,000 1,609,000 1,470,000 1,802,000 1,972,000 1,788,000 2,152,000 2,366,000 2,343,000 2,349,000 2,627,000 2,916,000 3,170,000 3,048,000 3,446,000 3,669,000 3,356,000 3,007,000 2,949,000 3,030,000 3,187,000 3,159,000 3,809,000 3,704,000 4,014,000 3,665,000 3,781,000 3,543,000 3,645,000 3,590,000 
        straight-line rent receivable
      17,615,000 17,949,000 18,545,000 20,187,000 20,685,000 21,505,000 18,677,000 18,706,000 19,075,000 19,626,000 20,068,000 20,815,000 21,238,000 21,847,000 22,253,000 22,689,000 23,912,000 24,146,000 24,298,000 24,357,000 24,377,000 24,452,000 24,374,000 29,619,000 46,541,000                                                                
        prepaid expenses and other assets
      23,085,000 21,245,000 16,126,000 18,958,000 14,621,000 15,893,000 15,095,000 17,610,000 17,192,000 15,969,000 18,185,000 19,061,000 9,319,000 11,099,000 12,004,000 8,703,000 8,470,000 4,191,000 3,681,000 3,899,000 3,655,000 5,316,000 6,896,000 7,467,000 5,476,000 5,115,000 3,845,000 3,463,000 5,342,000 3,985,000 3,767,000 4,089,000 2,877,000 23,711,000 22,829,000 27,010,000 25,690,000 22,948,000 20,779,000 21,119,000 21,020,000 21,443,000 20,775,000 13,048,000 12,657,000 9,931,000 6,858,000 6,569,000 6,761,000 7,453,000 6,262,000 6,656,000 7,222,000 7,341,000 7,604,000 8,541,000 7,772,000 8,126,000 8,534,000 8,260,000 8,422,000 8,767,000 8,577,000 8,842,000 22,632,000 21,725,000 21,135,000 19,446,000 18,175,000 17,452,000 16,771,000 6,424,000 6,271,000 5,498,000 4,695,000 3,726,000 4,218,000 4,844,000 4,486,000 4,855,000 4,495,000 4,294,000 2,769,000 2,778,000 2,069,000 2,672,000 2,908,000 2,299,000 
        total assets
      2,102,374,000 2,062,060,000 2,044,420,000 1,795,357,000 1,775,509,000 1,786,142,000 1,871,637,000 1,890,716,000 1,818,395,000 1,855,098,000 1,867,863,000 1,858,242,000 1,798,856,000 1,656,103,000 1,651,965,000 1,578,227,000 1,536,097,000 1,504,825,000 1,453,088,000 1,416,472,000 1,455,303,000 1,459,486,000 1,477,244,000 1,510,172,000 1,524,785,000 1,514,209,000 1,512,231,000 1,499,480,000 1,496,366,000 1,513,620,000 1,535,851,000 1,499,629,000 1,479,130,000 1,465,570,000 1,431,193,000 1,440,558,000 1,391,590,000 1,394,896,000 1,373,386,000 1,380,125,000 1,318,850,000 1,275,424,000 1,216,915,000 1,043,050,000 995,420,000 965,819,000 952,571,000 945,188,000 942,241,000 841,243,000 845,064,000 792,664,000 709,833,000 654,854,000 658,604,000 619,016,000 614,423,000 635,428,000 523,051,000 517,094,000 512,042,000 477,013,000 490,240,000 501,001,000 508,988,000 511,220,000 526,216,000 547,098,000 565,374,000 564,765,000 567,767,000 580,413,000 587,993,000 590,998,000 578,663,000 552,832,000 552,112,000 574,593,000 543,227,000 553,436,000   589,259,000 596,877,000 599,925,000 631,338,000 629,701,000 635,310,000 
        liabilities
                                                                                              
        revolving line of credit
      282,963,000 252,863,000 548,450,000 168,550,000 148,850,000 144,350,000 240,150,000 281,750,000 277,050,000 302,250,000 362,250,000 326,350,000 270,100,000 130,000,000 151,000,000 56,000,000 157,900,000 110,900,000                                                                       
        term loans, net of debt issue costs: 2026—1,685; 2025—1,787
      198,315,000                                                                                        
        senior unsecured notes, net of debt issue costs: 2026—855; 2025—895
      386,145,000                                                                                        
        accrued interest
      3,730,000 3,806,000 4,009,000 2,882,000 2,924,000 3,094,000 3,757,000 4,997,000 4,861,000 3,865,000 3,893,000 3,870,000 4,122,000 5,234,000 3,120,000 3,946,000 3,090,000 3,745,000 3,172,000 4,093,000 3,347,000 4,216,000 3,300,000 4,587,000 3,503,000 4,983,000 3,996,000 5,290,000 4,193,000 4,180,000 3,468,000 5,105,000 4,114,000 5,276,000 4,108,000 4,543,000 4,259,000 4,675,000 3,616,000 4,046,000 2,852,000 3,974,000 2,554,000 3,574,000 2,472,000 3,556,000 2,424,000 3,450,000 2,350,000 2,076,000 3,296,000 2,285,000 2,320,000 1,156,000 1,379,000 1,014,000 858,000 605,000 608,000 100,000 110,000 67,000 134,000 252,000 249,000 257,000 347,000 341,000 348,000 351,000 358,000 426,000 482,000 490,000 609,000 640,000 650,000 728,000 872,000 881,000 952,000 1,068,000 1,288,000 1,117,000 1,293,000 1,421,000 1,336,000 1,102,000 
        accrued expenses and other liabilities
      48,195,000 53,689,000 50,646,000 51,111,000 41,104,000 45,443,000 41,120,000 41,957,000 34,481,000 43,649,000 47,364,000 41,368,000 29,074,000 32,708,000 29,915,000 28,917,000 27,626,000 33,234,000 35,157,000 31,540,000 27,764,000 30,082,000 30,779,000 28,815,000 25,800,000 30,412,000 30,472,000 30,742,000 28,220,000 31,440,000 28,812,000 27,221,000 21,724,000 25,228,000 23,710,000 23,810,000 24,303,000 28,553,000 27,363,000 24,885,000 22,480,000 27,654,000 21,865,000 18,620,000 16,284,000 17,251,000 15,937,000 14,429,000 14,088,000 15,275,000 11,712,000 11,379,000 12,054,000 10,938,000 9,698,000 10,872,000 10,180,000 9,046,000 9,045,000 8,407,000 7,047,000 6,931,000 5,983,000 4,279,000 4,979,000 5,406,000 4,655,000 5,532,000 5,214,000 4,281,000 6,223,000 5,954,000 4,497,000 5,150,000 5,093,000 4,008,000 3,591,000 3,405,000 2,798,000 2,313,000 2,514,000 5,602,000 5,227,000 5,646,000 6,419,000 7,024,000 6,158,000 5,718,000 
        total liabilities
      919,348,000 899,676,000 999,170,000 750,450,000 726,207,000 733,137,000 830,200,000 907,959,000 899,553,000 938,831,000 1,007,480,000 998,627,000 934,241,000 805,796,000 826,796,000 767,731,000 793,498,000 759,698,000 700,158,000 654,092,000 690,532,000 683,680,000 698,423,000 722,867,000 718,730,000 728,783,000 718,337,000 711,870,000 708,213,000 680,649,000 712,558,000 693,933,000 722,267,000 706,922,000 674,558,000 683,391,000 638,450,000 654,848,000 632,755,000 649,382,000 646,160,000 616,222,000 555,709,000 383,528,000 336,036,000 305,698,000 320,894,000 312,912,000 310,471,000 205,219,000 209,839,000 325,853,000 244,943,000 189,392,000 193,228,000 149,774,000 144,318,000 164,163,000 65,186,000 56,204,000 49,995,000 21,918,000 34,680,000 43,589,000 45,195,000 45,815,000 59,605,000 61,861,000 61,831,000 61,174,000 63,815,000 75,677,000 82,009,000 91,645,000 100,795,000 109,449,000 107,364,000 127,074,000 156,147,000 166,483,000   230,635,000 237,752,000 239,113,000 266,662,000 266,286,000 280,928,000 
        equity
                                                                                              
        stockholders’ equity:
                                                                                              
        common stock: 0.01 par value...
      498,000 485,000 473,000 461,000 459,000 455,000 450,000 435,000 433,000 430,000 413,000 413,000 413,000 412,000 404,000 404,000 395,000 394,000 394,000 394,000 394,000 392,000 392,000 392,000 392,000 398,000 398,000 397,000 397,000 397,000 397,000 396,000 396,000 396,000 396,000 396,000 396,000 392,000 392,000 391,000 379,000 375,000  356,000 355,000 355,000 348,000 348,000 348,000 348,000 348,000 307,000 305,000 304,000 304,000 303,000 303,000 303,000 262,000 238,000 238,000 232,000 232,000 232,000 231,000 231,000 231,000  237,000 237,000 236,000 233,000 233,000 233,000 232,000 216,000 216,000 204,000 196,000 180,000  178,000 178,000 179,000  184,000 185,000 185,000 
        capital in excess of par value
      1,229,304,000 1,189,846,000 1,146,560,000 1,099,049,000 1,091,524,000 1,082,764,000 1,062,374,000 1,005,468,000 996,631,000 991,656,000 937,550,000 935,427,000 933,370,000 931,124,000 899,921,000 893,154,000 857,558,000 856,895,000 854,921,000 852,959,000 851,150,000 852,780,000 851,000,000 849,326,000 847,572,000 867,346,000 865,721,000 863,993,000 862,376,000 862,712,000 861,226,000 858,832,000 857,426,000 856,992,000 855,746,000 854,340,000 853,132,000 839,005,000 837,889,000 829,228,000 772,677,000 758,676,000 720,221,000 719,216,000 718,050,000 717,396,000 691,249,000 690,373,000 689,551,000 688,341,000 687,841,000 516,011,000 509,431,000 507,752,000 506,700,000 506,851,000 506,513,000 506,313,000 397,788,000 336,692,000 336,337,000 323,905,000 322,761,000 322,426,000 321,508,000 320,611,000 319,843,000 317,343,000 333,617,000 332,738,000 332,149,000 328,914,000 328,438,000 330,124,000 328,211,000 295,121,000 295,056,000 281,082,000 275,670,000 255,515,000 250,055,000 251,093,000 250,998,000 251,801,000 253,050,000 255,311,000 254,976,000 254,975,000 
        cumulative net income
      1,867,000,000 1,843,407,000 1,741,212,000 1,761,207,000 1,746,115,000 1,725,435,000 1,707,352,000 1,677,986,000 1,658,625,000 1,634,395,000 1,606,165,000 1,583,968,000 1,577,794,000 1,544,660,000 1,526,721,000 1,513,431,000 1,459,048,000 1,444,636,000 1,431,798,000 1,420,776,000 1,402,537,000 1,388,775,000 1,371,202,000 1,358,985,000 1,357,115,000 1,293,482,000 1,280,940,000 1,253,748,000 1,233,302,000 1,255,764,000 1,224,998,000 1,190,078,000 1,121,142,000 1,100,783,000 1,080,949,000 1,060,333,000 1,034,956,000 1,013,443,000 992,777,000 970,366,000 948,186,000 928,328,000 910,374,000 890,727,000 872,799,000 855,247,000 834,247,000 817,125,000 798,852,000 767,198,000 749,912,000 737,009,000 711,262,000 698,767,000 685,664,000 660,186,000 647,811,000 635,597,000 611,247,000 599,733,000 588,151,000 566,640,000 555,390,000 544,726,000 523,751,000 513,123,000 501,746,000 479,482,000 468,061,000 455,218,000 442,833,000 430,885,000 419,775,000 407,786,000 353,231,000 342,974,000 332,840,000 302,160,000 292,872,000 284,849,000 274,948,000 266,946,000 260,893,000 254,513,000 250,629,000 245,923,000 239,369,000 225,007,000 
        accumulated other comprehensive income
      1,556,000 482,000 1,459,000 2,188,000 2,905,000 3,815,000 3,639,000 5,965,000 6,488,000 6,110,000 8,596,000 8,568,000 7,357,000 8,719,000 9,445,000 6,139,000 4,704,000                      8,000 13,000 18,000 47,000 56,000 65,000 73,000 82,000 91,000 99,000 108,000                                        
        cumulative distributions
      -1,988,407,000 -1,959,236,000 -1,931,854,000 -1,905,398,000 -1,879,101,000 -1,851,842,000 -1,825,996,000 -1,800,715,000 -1,775,928,000 -1,751,312,000 -1,727,315,000 -1,703,710,000 -1,680,111,000 -1,656,548,000 -1,633,241,000 -1,610,154,000 -1,587,519,000 -1,565,039,000 -1,542,596,000 -1,520,153,000 -1,497,714,000 -1,474,545,000 -1,452,177,000 -1,429,809,000 -1,407,450,000 -1,384,283,000 -1,361,625,000 -1,338,967,000 -1,316,314,000 -1,293,383,000 -1,270,779,000 -1,248,179,000 -1,225,589,000 -1,203,011,000 -1,180,456,000 -1,157,902,000 -1,135,344,000 -1,112,792,000 -1,090,435,000 -1,069,255,000 -1,048,570,000 -1,028,224,000 -1,008,301,000 -989,342,000 -970,393,000 -951,459,000 -932,758,000 -914,169,000 -895,589,000 -858,488,000 -841,510,000 -825,159,000        -664,870,000                    -358,402,000 -344,924,000 -334,060,000 -327,520,000 -321,095,000 -315,518,000 -309,946,000 -304,345,000 -298,740,000 
        total ltc properties, inc. stockholders’ equity
      1,109,951,000 1,074,984,000 957,850,000 957,507,000 961,902,000 960,627,000 947,819,000 889,139,000 886,249,000 881,279,000 825,409,000 824,666,000 838,823,000 828,367,000 803,250,000 802,974,000 734,186,000 736,714,000 744,517,000 753,976,000 756,367,000 767,402,000 770,417,000 778,894,000 797,629,000 776,943,000 785,434,000 779,171,000 779,761,000 825,490,000 815,842,000 801,127,000 753,375,000 755,160,000                636,024,000 635,225,000 466,811,000 464,541,000 465,056,000 464,969,000 467,280,000 468,143,000 469,303,000 455,903,000 458,928,000 460,085,000 451,961,000 452,426,000                          
        non-controlling interests
      73,075,000 87,400,000 87,400,000 87,400,000 87,400,000 92,378,000 93,618,000 93,618,000 32,593,000 34,988,000 34,974,000 34,949,000 25,792,000 21,940,000 21,919,000 7,522,000 8,413,000 8,413,000 8,413,000 8,404,000 8,404,000 8,404,000 8,404,000 8,411,000 8,426,000 8,483,000 8,460,000 8,439,000 8,392,000 7,481,000 7,451,000 4,569,000 3,488,000 3,488,000                   349,000 406,000 407,000 1,962,000 1,962,000 1,962,000 1,962,000 1,962,000 1,962,000 3,134,000                           
        total equity
      1,183,026,000 1,162,384,000 1,045,250,000 1,044,907,000 1,049,302,000 1,053,005,000 1,041,437,000 982,757,000 918,842,000 916,267,000 860,383,000 859,615,000 864,615,000 850,307,000 825,169,000 810,496,000 742,599,000 745,127,000 752,930,000 762,380,000 764,771,000 775,806,000 778,821,000 787,305,000 806,055,000 785,426,000 793,894,000 787,610,000 788,153,000 832,971,000 823,293,000 805,696,000 756,863,000 758,648,000 756,635,000 757,167,000 753,140,000 740,048,000 740,631,000 730,743,000 672,690,000 659,202,000 661,206,000 659,522,000 659,384,000 660,121,000 631,677,000 632,276,000 631,770,000 636,024,000 635,225,000 466,811,000 464,890,000 465,462,000 465,376,000 469,242,000 470,105,000 471,265,000 457,865,000 460,890,000 462,047,000 455,095,000 455,560,000 457,412,000                         
        total liabilities and equity
      2,102,374,000 2,062,060,000 2,044,420,000 1,795,357,000 1,775,509,000 1,786,142,000 1,871,637,000 1,890,716,000 1,818,395,000 1,855,098,000 1,867,863,000 1,858,242,000 1,798,856,000 1,656,103,000 1,651,965,000 1,578,227,000 1,536,097,000 1,504,825,000 1,453,088,000 1,416,472,000 1,455,303,000 1,459,486,000 1,477,244,000 1,510,172,000 1,524,785,000 1,514,209,000 1,512,231,000 1,499,480,000 1,496,366,000 1,513,620,000 1,535,851,000 1,499,629,000 1,479,130,000 1,465,570,000 1,431,193,000 1,440,558,000 1,391,590,000 1,394,896,000 1,373,386,000 1,380,125,000 1,318,850,000 1,275,424,000 1,216,915,000 1,043,050,000 995,420,000 965,819,000 952,571,000 945,188,000 942,241,000 841,243,000 845,064,000 792,664,000 709,833,000 654,854,000 658,604,000 619,016,000 614,423,000 635,428,000 523,051,000 517,094,000 512,042,000 477,013,000 490,240,000 501,001,000                         
        properties held-for-sale, net of accumulated depreciation: 2025—0; 2024—1,346
                                                                                              
        financing receivables, net of credit loss reserve: 2025—3,631; 2024—3,615
       359,457,000                                                                                       
        mortgage loans receivable, net of credit loss reserve: 2025—3,849; 2024—3,151
       381,662,000                                                                                       
        notes receivable, net of credit loss reserve: 2025—259; 2024—477
       25,615,000                                                                                       
        term loans, net of debt issue costs: 2025—1,787; 2024—192
       198,213,000                                                                                       
        senior unsecured notes, net of debt issue costs: 2025—895; 2024—1,058
       391,105,000                                                                                       
        operating real estate property
        1,126,692,000 865,425,000 874,261,000 925,178,000 938,256,000 945,052,000 955,977,000 969,574,000 998,327,000 1,018,067,000 992,046,000 1,008,508,000 1,015,472,000  993,293,000   1,048,560,000 1,086,415,000 1,102,358,000 1,108,931,000 1,115,593,000 1,117,845,000 1,109,960,000 1,128,441,000 1,114,559,000 1,117,315,000 1,102,751,000 1,101,687,000 1,094,099,000 1,065,879,000 1,082,259,000 1,054,216,000 1,063,699,000 1,019,556,000   1,021,145,000                                                 
        properties held-for-sale, net of accumulated depreciation: 2025—29,284; 2024—1,346
        42,458,000 42,458,000 42,458,000                                                                                    
        financing receivables, net of credit loss reserve: 2025—3,622; 2024—3,615
        358,579,000                                                                                      
        mortgage loans receivable, net of credit loss reserve: 2025—3,930; 2024—3,151
        389,657,000                                                                                      
        real estate investments
        1,917,386,000 1,618,960,000 1,588,922,000 1,596,298,000 1,660,979,000 1,696,658,000 1,632,626,000 1,661,263,000 1,677,395,000 1,692,173,000 1,645,172,000 1,484,945,000 1,484,695,000 1,415,584,000 1,372,149,000 1,378,393,000 1,300,745,000 1,310,123,000 1,348,209,000 1,359,609,000 1,366,602,000 1,371,662,000 1,372,241,000 1,390,915,000 1,385,457,000 1,370,405,000 1,365,459,000 1,349,520,000 1,349,652,000 1,331,752,000 1,319,444,000 1,309,996,000 1,282,458,000 1,285,254,000 1,244,018,000 1,255,503,000 1,260,225,000 1,258,064,000 1,193,572,000 1,164,950,000 1,114,764,000 956,170,000 917,161,000 892,179,000 902,699,000 896,261,000 893,997,000 739,269,000 741,929,000 741,677,000 661,132,000 605,652,000 611,643,000 571,421,000 567,066,000 573,477,000 472,287,000 474,397,000 456,104,000 435,256,000 440,092,000 443,772,000 457,674,000 463,229,000 466,882,000 465,930,000 470,631,000 499,331,000 503,188,000 505,031,000 506,252,000 507,555,000 560,562,000 527,496,000 527,533,000 504,632,000 511,897,000 520,639,000   545,012,000 548,429,000 552,434,000 569,653,000 576,037,000 595,689,000 
        notes receivable, net of credit loss reserve: 2025—270; 2024—477
        26,740,000                                                                                      
        lease incentives
        2,717,000 2,893,000 3,074,000 3,522,000 3,584,000 3,573,000 3,578,000 2,607,000 2,193,000 1,360,000 1,571,000 1,789,000 2,001,000 1,910,000 2,277,000 2,678,000 2,726,000 2,414,000 2,349,000 2,462,000 2,401,000 2,471,000 2,764,000 2,552,000 2,590,000 2,652,000 2,263,000 14,443,000 21,102,000 21,407,000 21,321,000                                                        
        term loans, net of debt issue costs: 2025—0; 2024—192
                                                                                              
        senior unsecured notes, net of debt issue costs: 2025—935; 2024—1,058
        396,065,000                                                                                      
        financing receivables, net of credit loss reserve: 2025—3,614; 2024—3,615
         357,824,000                                                                                     
        mortgage loans receivable, net of credit loss reserve: 2025—3,562; 2024—3,151
         353,253,000                                                                                     
        notes receivable, net of credit loss reserve: 2025—441; 2024—477
         43,694,000                                                                                     
        term loans, net of debt issue costs: 2025—117; 2024—192
         99,883,000                                                                                     
        senior unsecured notes, net of debt issue costs: 2025—976; 2024—1,058
         428,024,000                                                                                     
        financing receivables, net of credit loss reserve: 2025—3,615; 2024—3,615
          357,845,000                                                                                    
        mortgage loans receivable, net of credit loss reserve: 2025—3,169; 2024—3,151
          314,358,000                                                                                    
        notes receivable, net of credit loss reserve: 2025—448; 2024—477
          44,338,000                                                                                    
        term loans, net of debt issue costs: 2025—154; 2024—192
          99,846,000                                                                                    
        senior unsecured notes, net of debt issue costs: 2025—1,017; 2024—1,058
          433,483,000                                                                                    
        properties held-for-sale, net of accumulated depreciation: 2024—1,346; 2023—3,616
           670,000                                                                                   
        financing receivables, net of credit loss reserve: 2024—3,615; 2023—1,980
           357,867,000 357,889,000 357,910,000                                                                                 
        mortgage loans receivable, net of credit loss reserve: 2024—3,151; 2023—4,814
           312,583,000                                                                                   
        notes receivable, net of credit loss reserve: 2024—477; 2023—611
           47,240,000                                                                                   
        term loans, net of debt issue costs: 2024—192; 2023—342
           99,808,000                                                                                   
        senior unsecured notes, net of debt issue costs: 2024—1,058; 2023—1,251
           440,442,000                                                                                   
        properties held-for-sale, net of accumulated depreciation: 2024—1,794; 2023—3,616
            4,058,000                                                                                  
        mortgage loans receivable, net of credit loss reserve: 2024—3,638; 2023—4,814
            360,776,000                                                                                  
        notes receivable, net of credit loss reserve: 2024—482; 2023—611
            47,691,000                                                                                  
        term loans, net of debt issue costs: 2024—229; 2023—342
            99,771,000                                                                                  
        senior unsecured notes, net of debt issue costs: 2024—1,098; 2023—1,251
            445,402,000                                                                                  
        properties held-for-sale, net of accumulated depreciation: 2024—1,906; 2023—3,616
             4,248,000                                                                                 
        mortgage loans receivable, net of credit loss reserve: 2024—3,927; 2023—4,814
             389,448,000                                                                                 
        notes receivable, net of credit loss reserve: 2024—590; 2023—611
             58,405,000                                                                                 
        term loans, net of debt issue costs: 2024—267; 2023—342
             99,733,000                                                                                 
        senior unsecured notes, net of debt issue costs: 2024—1,138; 2023—1,251
             479,522,000                                                                                 
        properties held-for-sale, net of accumulated depreciation: 2024—2,773; 2023—3,616
              389,000                                                                                
        financing receivables, net of credit loss reserve: 2024—1,980; 2023—1,980
              196,010,000                                                                                
        mortgage loans receivable, net of credit loss reserve: 2024—4,845; 2023—4,814
              480,250,000                                                                                
        notes receivable, net of credit loss reserve: 2024—605; 2023—611
              59,946,000                                                                                
        term loans, net of debt issue costs: 2024—305; 2023—342
              99,695,000                                                                                
        senior unsecured notes, net of debt issue costs: 2024—1,194; 2023—1,251
              483,466,000                                                                                
        properties held-for-sale, net of accumulated depreciation: 2023—3,616; 2022—2,305
               18,391,000                                                                               
        financing receivables, net of credit loss reserve: 2023—1,980; 2022—768
               196,032,000                                                                               
        mortgage loans receivable, net of credit loss reserve: 2023—4,814; 2022—3,930
               477,266,000                                                                               
        notes receivable, net of credit loss reserve: 2023—611; 2022—589
               60,490,000                                                                               
        term loans, net of debt issue costs: 2023—342; 2022—489
               99,658,000                                                                               
        senior unsecured notes, net of debt issue costs: 2023—1,251; 2022—1,477
               489,409,000                                                                               
        properties held-for-sale, net of accumulated depreciation: 2023—11,590; 2022—2,305
                9,448,000                                                                              
        financing receivables, net of credit loss reserve: 2023—1,981; 2022—768
                196,053,000 196,075,000 196,096,000                                                                            
        mortgage loans receivable, net of credit loss reserve: 2023—4,777; 2022—3,930
                473,567,000                                                                              
        notes receivable, net of credit loss reserve: 2023—637; 2022—589
                63,056,000                                                                              
        term loans, net of debt issue costs: 2023—380; 2022—489
                99,620,000                                                                              
        senior unsecured notes, net of debt issue costs: 2023—1,307; 2022—1,477
                494,353,000                                                                              
        properties held-for-sale, net of accumulated depreciation: 2023—3,691; 2022—2,305
                 6,053,000                                                                             
        mortgage loans receivable, net of credit loss reserve: 2023—4,761; 2022—3,930
                 471,978,000                                                                             
        notes receivable, net of credit loss reserve: 2023—463; 2022—589
                 45,949,000                                                                             
        term loans, net of debt issue costs: 2023—417; 2022—489
                 99,583,000                                                                             
        senior unsecured notes, net of debt issue costs: 2023—1,364; 2022—1,477
                 527,456,000                                                                             
        properties held-for-sale, net of accumulated depreciation: 2023—3,088; 2022—2,305
                  4,075,000                                                                            
        mortgage loans receivable, net of credit loss reserve: 2023—4,569; 2022—3,930
                  452,955,000                                                                            
        notes receivable, net of credit loss reserve: 2023—469; 2022—589
                  46,467,000                                                                            
        term loans, net of debt issue costs: 2023—455; 2022—489
                  99,545,000                                                                            
        senior unsecured notes, net of debt issue costs: 2023—1,420; 2022—1,477
                  531,400,000                                                                            
        properties held-for-sale, net of accumulated depreciation: 2022—2,305; 2021—0
                   10,710,000 10,710,000                                                                          
        financing receivable, net of credit loss reserve: 2022—768; 2021—0
                   75,999,000                                                                           
        mortgage loans receivable, net of credit loss reserve: 2022—3,930; 2021—3,473
                   389,728,000                                                                           
        notes receivable, net of credit loss reserve: 2022—589; 2021—286
                   58,383,000                                                                           
        term loans, net of debt issue costs: 2022—489; 2021—637
                   99,511,000                                                                           
        senior unsecured notes, net of debt issue costs: 2022—1,477; 2021—524
                   538,343,000                                                                           
        financing receivable, net of credit loss reserve: 2022—760; 2021—0
                    75,507,000                                                                          
        mortgage loans receivable, net of credit loss reserve: 2022—3,862; 2021—3,473
                    383,006,000                                                                          
        notes receivable, net of credit loss reserve: 2022—590; 2021—286
                    58,424,000                                                                          
        term loans, net of debt issue costs: 2022—526; 2021—637
                    99,474,000                                                                          
        senior unsecured notes, net of debt issue costs: 2022—1,533; 2021—524
                    543,287,000                                                                          
        mortgage loans receivable, net of credit loss reserve: 2022—3,830; 2021—3,473
                     379,817,000                                                                         
        notes receivable, net of credit loss reserve: 2022—588; 2021—286
                     58,206,000                                                                         
        term loans, net of debt issue costs: 2022—563; 2021—637
                     99,437,000                                                                         
        senior unsecured notes, net of debt issue costs: 2022—1,549; 2021—524
                     579,431,000                                                                         
        properties held-for-sale, net of accumulated depreciation: 2022—16,396; 2021—0
                      32,313,000                                                                        
        mortgage loans receivable, net of credit loss reserve: 2022—3,494; 2021—3,473
                      346,543,000                                                                        
        notes receivable, net of credit loss reserve: 2022—619; 2021—286
                      61,508,000                                                                        
        term loans, net of debt issue costs: 2022—600; 2021—637
                      99,400,000                                                                        
        senior unsecured notes, net of debt issue costs: 2022—498; 2021—524
                      505,482,000                                                                        
        mortgage loans receivable, net of loan loss reserve: 2021—3,473; 2020—2,592
                       344,442,000                                                                       
        notes receivable, net of loan loss reserve: 2021—286; 2020—146
                       28,337,000                                                                       
        debt issue costs related to bank borrowings
                       3,057,000 688,000 918,000 1,104,000 1,324,000 1,546,000 1,766,000 1,948,000 2,164,000 2,380,000 2,597,000 2,775,000 2,989,000 3,202,000 3,304,000 540,000 810,000 1,080,000 1,349,000 1,584,000 1,847,000 2,112,000 2,375,000                                                 
        term loans, net of debt issue costs: 2021-637; 2020-0
                       99,363,000                                                                       
        senior unsecured notes, net of debt issue costs: 2021—524; 2020—658
                       512,456,000                                                                       
        accumulated other comprehensive loss
                       -172,000                                                                       
        mortgage loans receivable, net of loan loss reserve: 2021—2,608; 2020—2,592
                        258,829,000                                                                      
        notes receivable, net of loan loss reserve: 2021—189; 2020—146
                        18,675,000                                                                      
        bank borrowings
                        134,400,000 65,900,000 106,900,000 89,900,000 89,900,000 89,900,000 89,900,000 93,900,000 165,400,000 146,900,000 146,900,000 112,000,000 120,000,000 85,500,000 120,500,000 96,500,000 55,000,000 45,000,000  107,100,000 77,000,000 122,000,000 161,000,000 120,500,000 165,500,000 80,500,000 36,500,000  19,500,000 42,000,000 41,000,000   117,500,000 35,500,000 68,000,000 73,000,000 28,400,000 70,000,000   41,000,000 28,500,000  5,500,000            4,700,000    1,500,000 12,000,000   49,557,000 48,421,000 48,421,000 74,390,000 96,000,000 97,000,000 
        senior unsecured notes, net of debt issue costs: 2021—551; 2020—658
                        527,429,000                                                                      
        properties held-for-sale, net of accumulated depreciation: 2021—3,512; 2020—0
                         4,512,000 4,512,000                                                                    
        mortgage loans receivable, net of loan loss reserve: 2021—2,590; 2020—2,592
                         257,051,000                                                                     
        notes receivable, net of loan loss reserve: 2021—139; 2020—146
                         13,730,000                                                                     
        senior unsecured notes, net of debt issue costs: 2021—581; 2020—658
                         552,559,000                                                                     
        mortgage loans receivable, net of loan loss reserve: 2021—2,592; 2020—2,592
                          257,282,000                                                                    
        notes receivable, net of loan loss reserve: 2021—137; 2020—146
                          13,577,000                                                                    
        senior unsecured notes, net of debt issue costs: 2021—619; 2020—658
                          552,521,000                                                                    
        properties held-for-sale, net of accumulated depreciation: 2020—0; 2019—35,113
                                                                                              
        mortgage loans receivable, net of loan loss reserve: 2020—2,592; 2019—2,560
                           257,251,000                                                                   
        notes receivable, net of loan loss reserve: 2020—146; 2019—181
                           14,465,000                                                                   
        senior unsecured notes, net of debt issue costs: 2020—658; 2019—812
                           559,482,000                                                                   
        mortgage loans receivable, net of loan loss reserve: 2020—2,596; 2019—2,560
                            257,671,000                                                                  
        notes receivable, net of loan loss reserve: 2020—144; 2019—181
                            14,297,000                                                                  
        senior unsecured notes, net of debt issue costs: 2020—696; 2019—812
                            574,444,000                                                                  
        mortgage loans receivable, net of loan loss reserve: 2020—2,580; 2019—2,560
                             256,069,000                                                                 
        notes receivable, net of loan loss reserve: 2020—163; 2019—181
                             16,093,000                                                                 
        senior unsecured notes, net of debt issue costs: 2020—735; 2019—812
                             599,565,000                                                                 
        mortgage loans receivable, net of loan loss reserve: 2020—2,563; 2019—2,560
                              254,396,000                                                                
        notes receivable, net of loan loss reserve: 2020—179; 2019—181
                              17,769,000                                                                
        senior unsecured notes, net of debt issue costs: 2020—773; 2019—812
                              599,527,000                                                                
        properties held-for-sale, net of accumulated depreciation: 2019—35,113; 2018—1,916
                               26,856,000                                                               
        mortgage loans receivable, net of loan loss reserve: 2019—2,560; 2018—2,447
                               254,099,000                                                               
        notes receivable, net of loan loss reserve: 2019—181; 2018—128
                               17,927,000                                                               
        restricted cash
                                2,108,000 2,108,000 2,108,000 2,108,000 2,163,000 2,446,000                                                         
        straight-line rent receivable, net of allowance for doubtful accounts: 2019—0; 2018—746
                               45,703,000 44,814,000 43,730,000 42,455,000                                                            
        senior unsecured notes, net of debt issue costs: 2019—812; 2018—938
                               599,488,000                                                               
        properties held-for-sale, net of accumulated depreciation: 2019—1,916; 2018—1,916
                                3,830,000 3,830,000 3,830,000                                                            
        mortgage loans receivable, net of loan loss reserve: 2019—2,551; 2018—2,447
                                253,186,000                                                              
        notes receivable, net of loan loss reserve: 2019—177; 2018—128
                                17,552,000                                                              
        senior unsecured notes, net of debt issue costs: 2019—831; 2018—938
                                518,469,000                                                              
        mortgage loans receivable, net of loan loss reserve: 2019—2,539; 2018—2,447
                                 252,016,000                                                             
        notes receivable, net of loan loss reserve: 2019—204; 2018—128
                                 20,157,000                                                             
        senior unsecured notes, net of debt issue costs: 2019—862; 2018—938
                                 528,938,000                                                             
        mortgage loans receivable, net of loan loss reserve: 2019—2,461; 2018—2,447
                                  244,314,000                                                            
        notes receivable, net of loan loss reserve: 2019—198; 2018—128
                                  19,558,000                                                            
        senior unsecured notes, net of debt issue costs: 2019—900; 2018—938
                                  528,900,000                                                            
        properties held-for-sale, net of accumulated depreciation: 2018—1,916; 2017—1,916
                                   3,830,000  3,830,000                                                         
        mortgage loans receivable, net of loan loss reserve: 2018—2,447; 2017—2,255
                                   242,939,000                                                           
        notes receivable, net of loan loss reserve: 2018—128; 2017—166
                                   12,715,000 12,642,000                                                          
        straight-line rent receivable, net of allowance for doubtful accounts: 2018—746; 2017—814
                                   73,857,000                                                           
        senior unsecured notes, net of debt issue costs: 2018—938; 2017—1,131
                                   533,029,000                                                           
        accrued incentives and earn-outs
                                    9,292,000 9,167,000 9,041,000 8,916,000 8,790,000 12,140,000 12,015,000 12,229,000 12,514,000 13,717,000 12,572,000 12,722,000 13,323,000                                              
        properties held-for-sale, net of accumulated depreciation: 2018—2,887; 2017—1,916
                                    5,356,000                                                          
        mortgage loans receivable, net of loan loss reserve: 2018—2,444; 2017—2,255
                                    242,609,000                                                          
        straight-line rent receivable, net of allowance for doubtful accounts: 2018—739; 2017—814
                                    73,114,000                                                          
        senior unsecured notes, net of debt issue costs: 2018—981; 2017—1,131
                                    550,986,000                                                          
        mortgage loans receivable, net of loan loss reserve: 2018—2,355; 2017—2,255
                                     233,823,000                                                         
        notes receivable, net of loan loss reserve: 2018—142; 2017—166
                                     14,074,000                                                         
        straight-line rent receivable, net of allowance for doubtful accounts: 2018—707; 2017—814
                                     70,036,000                                                         
        senior unsecured notes, net of debt issue costs: 2018—1,027; 2017—1,131
                                     566,940,000                                                         
        properties held-for-sale, net of accumulated depreciation: 2018—23,223; 2017—1,916
                                      20,182,000                                                        
        mortgage loans receivable, net of loan loss reserve: 2018—2,351; 2017—2,255
                                      233,383,000                                                        
        notes receivable, net of loan loss reserve: 2018—166; 2017—166
                                      16,402,000                                                        
        straight-line rent receivable, net of allowance for doubtful accounts: 2018—726; 2017—814
                                      68,017,000                                                        
        senior unsecured notes, net of debt issue costs: 2018—1,079; 2017—1,131
                                      566,888,000                                                        
        properties held-for-sale, net of accumulated depreciation: 2017—1,916; 2016—0
                                       3,830,000                                                       
        mortgage loans receivable, net of loan loss reserve: 2017—2,255; 2016—2,315
                                       223,907,000                                                       
        notes receivable, net of loan loss reserve: 2017—166; 2016—166
                                       16,402,000 16,402,000 16,402,000 16,402,000                                                    
        straight-line rent receivable, net of allowance for doubtful accounts: 2017—814; 2016—960
                                       64,490,000                                                       
        senior unsecured notes, net of debt issue costs: 2017—1,131; 2016—1,009
                                       571,002,000                                                       
        properties held-for-sale, net of accumulated depreciation: 2017—4,264; 2016—0
                                        6,381,000                                                      
        mortgage loans receivable, net of loan loss reserve: 2017—2,234; 2016—2,315
                                        221,861,000                                                      
        straight-line rent receivable, net of allowance for doubtful accounts: 2017—901; 2016—960
                                        61,070,000                                                      
        senior unsecured notes, net of debt issue costs: 2017—1,183; 2016—1,009
                                        582,950,000                                                      
        properties held-for-sale, net of accumulated depreciation: 2017—1,058; 2016—0
                                         1,170,000 1,170,000                                                    
        mortgage loans receivable, net of loan loss reserve: 2017—2,219; 2016—2,315
                                         220,385,000                                                     
        straight-line rent receivable, net of allowance for doubtful accounts: 2017—1,013; 2016—960
                                         59,287,000                                                     
        senior unsecured notes, net of debt issue costs: 2017—1,235; 2016—1,009
                                         597,898,000                                                     
        mortgage loans receivable, net of loan loss reserve: 2017—2,249; 2016—2,315
                                          223,292,000                                                    
        straight-line rent receivable, net of allowance for doubtful accounts: 2017—988; 2016—960
                                          58,115,000                                                    
        senior unsecured notes, net of debt issue costs: 2017—1,260; 2016—1,009
                                          597,873,000                                                    
        mortgage loans receivable, net of loan loss reserve: 2016—2,315; 2015—2,190
                                           229,801,000                                                   
        notes receivable, net of loan loss reserve: 2016—166; 2015—0
                                           16,427,000                                                   
        straight-line rent receivable, net of allowance for doubtful accounts: 2016—960; 2015—833
                                           55,276,000                                                   
        senior unsecured notes, net of debt issue costs: 2016—1,009; 2015—1,095
                                           502,291,000                                                   
        mortgage loans receivable, net of loan loss reserve: 2016—2,360; 2015—2,190
                                            234,347,000                                                  
        straight-line rent receivable, net of allowance for doubtful accounts: 2016—907; 2015—833
                                            50,092,000                                                  
        notes receivable
                                            4,199,000 2,315,000 2,024,000 1,961,000 2,190,000 2,380,000 2,334,000 1,442,000 1,147,000 612,000 595,000 1,259,000 1,277,000 3,129,000 3,007,000 2,647,000 1,662,000 768,000 945,000 1,117,000 1,429,000 1,720,000 1,857,000 2,553,000 2,703,000 2,814,000 2,987,000 3,337,000 3,266,000 3,387,000 3,492,000 3,666,000 4,264,000 7,570,000 8,159,000 8,462,000 5,177,000 3,576,000 3,396,000 15,914,000 19,483,000 19,543,000 19,172,000 15,217,000 15,269,000 15,575,000 15,622,000 15,358,000 15,108,000 12,965,000 
        senior unsecured notes, net of debt issue costs: 2016—1,038; 2015—1,095
                                            512,262,000                                                  
        properties held-for-sale, net of accumulated depreciation and amortization: 2016—5,248; 2015—5,095
                                             4,022,000                                                 
        real estate property investments
                                             1,025,167,000                                                 
        mortgage loans receivable, net of loan loss reserve: 2016—2,346; 2015—2,190
                                             232,897,000                                                 
        straight-line rent receivable, net of allowance for doubtful accounts: 2016—880; 2015—833
                                             47,373,000                                                 
        senior unsecured notes, net of debt issue costs: 2016—1,066; 2015—1,095
                                             484,734,000                                                 
        mortgage loans receivable, net of loan loss reserve: 2016—2,246; 2015—2,190
                                              223,053,000                                                
        debt issue costs related to bank borrowing
                                              2,605,000 2,865,000                                               
        straight-line rent receivable, net of allowance for doubtful accounts: 2016—861; 2015—833
                                              45,492,000                                                
        senior unsecured notes, net of debt issue costs: 2016—1,044; 2015—1,095
                                              447,256,000                                                
        mortgage loans receivable, net of loan loss reserve: 2015—2,190; 2014—1,673
                                               217,529,000                                               
        straight-line rent receivable, net of allowance for doubtful accounts: 2015—833; 2014—731
                                               42,685,000                                               
        senior unsecured notes, net of debt issue costs: 2015—1,095; 2014—1,049
                                               451,372,000                                               
        preferred stock 0.01 par value...
                                                38,500,000 38,500,000 38,500,000 38,500,000 38,500,000 38,500,000 38,500,000         38,500,000 126,913,000 186,801,000 186,801,000 186,801,000 186,801,000 186,801,000                     165,183,000    
        mortgage loans receivable, net of loan loss reserve: 2015—2,065; 2014—1,673
                                                204,476,000                                              
        investment in unconsolidated joint ventures
                                                21,143,000                                              
        debt issue costs
                                                3,289,000 3,490,000 3,561,000 3,782,000 2,036,000 2,114,000 2,276,000 2,514,000 2,701,000 2,854,000 3,218,000 2,698,000 2,146,000 2,377,000 2,421,000 601,000 882,000 387,000 484,000 555,000 599,000 736,000 926,000 188,000 257,000 363,000 425,000 487,000 548,000 749,000 954,000 1,055,000 932,000 1,065,000 1,197,000 1,276,000 1,381,000 1,492,000 1,496,000 3,374,000 4,067,000 4,670,000 5,309,000 2,932,000 3,043,000 3,334,000 
        straight-line rent receivable, net of allowance for doubtful accounts: 2015—802; 2014—731
                                                39,641,000                                              
        senior unsecured notes
                                                352,467,000 277,467,000 277,467,000 281,633,000 281,633,000 251,633,000 251,633,000 185,800,000 185,800,000 185,800,000 185,800,000 100,000,000 100,000,000 100,000,000 50,000,000 50,000,000 50,000,000                              
        common stock: .01 par value...
                                                356,000                                              
        net operating real estate property
                                                 752,139,000 753,514,000 726,523,000 731,378,000 728,193,000 726,525,000 698,601,000 702,447,000  612,864,000 551,265,000 554,250,000 512,347,000 506,638,000 513,520,000                               
        mortgage loans receivable, net of loan loss reserve: 2015—2,061; 2014—1,673
                                                 204,031,000                                             
        investment in unconsolidated joint venture
                                                 20,722,000 20,220,000                                            
        straight-line rent receivable, net of allowance for doubtful accounts: 2015—775; 2014—731
                                                 37,060,000                                             
        earn-out liabilities
                                                 3,367,000 3,313,000 3,258,000     6,963,000 6,854,000 6,634,000 6,524,000 6,414,000 6,195,000 10,018,000 9,841,000                               
        mortgage loans receivable, net of loan loss reserve: 2015—1,653; 2014—1,673
                                                  163,647,000                                            
        straight-line rent receivable, net of allowance for doubtful accounts: 2015—754; 2014—731
                                                  34,903,000                                            
        real estate investments:
                                                                                              
        mortgage loans receivable, net of loan loss reserve: 2014—1,673; 2013—1,671
                                                   165,656,000                                           
        straight-line rent receivable, net of allowance for doubtful accounts: 2014—731; 2013—1,541
                                                   32,651,000                                           
        bonds payable
                                                    1,400,000 1,400,000 1,400,000 2,035,000 2,035,000 2,035,000 2,635,000 2,635,000 2,635,000 3,200,000 3,200,000 3,200,000 3,730,000 3,730,000 3,730,000 4,225,000 4,225,000 4,225,000   4,690,000 5,130,000 5,130,000 5,130,000                   
        mortgage loans receivable, net of allowance for doubtful accounts: 2014 — 1,730; 2013 — 1,671
                                                    171,321,000                                          
        straight-line rent receivable, net of allowance for doubtful accounts: 2014 — 720; 2013 — 1,541
                                                    31,581,000                                          
        mortgage loans receivable, net of allowance for doubtful accounts: 2014 — 1,698; 2013 — 1,671
                                                     168,068,000                                         
        straight-line rent receivable, net of allowance for doubtful accounts: 2014 — 714; 2013 — 1,541
                                                     30,913,000                                         
        mortgage loans receivable, net of allowance for doubtful accounts: 2014 — 1,691; 2013 — 1,671
                                                      167,472,000                                        
        straight-line rent receivable, net of allowance for doubtful accounts: 2014 — 1,548; 2013 — 1,541
                                                      30,393,000                                        
        properties held-for-sale, net of accumulated depreciation and amortization: 2013 — 0; 2012 — 4,100
                                                                                              
        net real estate property
                                                       698,601,000 702,657,000 701,936,000 612,864,000 556,290,000 559,275,000 517,365,000 511,656,000 516,420,000                               
        mortgage loans receivable, net of allowance for doubtful accounts: 2013 — 411; 2012 — 782
                                                       40,668,000                                       
        straight-line rent receivable, net of allowance for doubtful accounts: 2013 — 1,541; 2012 — 1,513
                                                       29,684,000                                       
        straight-line rent receivable and other assets related to properties held-for-sale, net of allowance for doubtful accounts: 2013 — 0; 2012 — 44
                                                                                              
        accrued expenses and other liabilities related to properties held-for-sale
                                                       33,000 33,000   139,000 102,000 93,000 62,000  35,000                              
        shares issued and outstanding: 2013 — 2,000; 2012 — 2,000
                                                       38,500,000 38,500,000 38,500,000                                     
        other
                                                       125,000 134,000 143,000 160,000 169,000 186,000 219,000 234,000 249,000 307,000 334,000 362,000 418,000 446,000 473,000 771,000 876,000 916,000 996,000 1,127,000 1,533,000 1,693,000 2,119,000 2,031,000 1,994,000 2,146,000   1,324,000 1,094,000 480,000 -638,000 -3,967,000 -4,194,000 -4,414,000 -6,112,000    
        properties held-for-sale, net of accumulated depreciation and amortization: 2013 — 804; 2012 — 1,141
                                                        210,000                                      
        mortgage loans receivable, net of allowance for doubtful accounts: 2013 — 396; 2012 — 782
                                                        39,272,000                                      
        straight-line rent receivable, net of allowance for doubtful accounts: 2013 — 1,532; 2012 — 1,557
                                                        28,839,000                                      
        mortgage loans receivable, net of allowance for doubtful accounts: 2013 — 401; 2012 — 782
                                                         39,741,000                                     
        straight-line rent receivable, net of allowance for doubtful accounts: 2013 — 1,567; 2012 — 1,557
                                                         27,925,000                                     
        properties held-for-sale, net of accumulated depreciation and amortization: 2012 — 0; 2011 — 1,650
                                                                                              
        mortgage loans receivable, net of allowance for doubtful accounts: 2012 — 873; 2011 — 921
                                                          48,268,000                                    
        straight-line rent receivable, net of allowance for doubtful accounts: 2012 — 1,545; 2011 — 1,519
                                                          25,945,000                                    
        marketable securities
                                                            6,486,000 6,483,000 6,481,000 6,479,000 6,477,000 6,476,000 6,474,000 6,472,000 6,470,000 6,469,000 6,467,000 6,466,000 6,465,000 6,463,000 6,462,000 9,940,000  11,637,000 11,549,000                
        shares issued and outstanding: 2012 — 2,000; 2011 — 2,000
                                                          38,500,000 38,500,000 38,500,000                                  
        properties held-for-sale, net of accumulated depreciation and amortization: 2012 — 613; 2011 — 2,263
                                                           5,025,000 5,025,000                                  
        mortgage loans receivable, net of allowance for doubtful accounts: 2012 — 884; 2011 — 921
                                                           49,362,000                                   
        straight-line rent receivable, net of allowance for doubtful accounts: 2012 — 696; 2011 — 680
                                                           25,089,000                                   
        other assets related to properties held-for-sale, net of allowance for doubtful accounts: 2012 — 839; 2011 — 839
                                                           52,000 52,000                                  
        mortgage loans receivable, net of allowance for doubtful accounts: 2012 — 914; 2011 — 921
                                                            52,368,000                                  
        straight-line rent receivable, net of allowance for doubtful accounts: 2012 — 688; 2011 — 680
                                                            24,411,000                                  
        properties held-for-sale, net of accumulated depreciation and amortization: 2011 — 613; 2010 — 505
                                                             5,018,000 5,018,000                                
        mortgage loans receivable, net of allowance for doubtful accounts: 2011 — 931; 2010 — 981
                                                             54,056,000                                 
        straight-line rent receivable, net of allowance for doubtful accounts: 2011 — 668; 2010 — 634
                                                             22,822,000                                 
        other assets related to properties held-for-sale, net of allowance for doubtful accounts: 2011 — 839; 2010 — 839
                                                             51,000 51,000                                
        distributions payable
                                                               3,058,000 1,768,000 2,967,000 2,967,000 2,967,000 2,967,000 2,967,000 3,026,000 3,030,000 3,039,000 3,408,000 3,416,000 3,421,000 3,423,000 3,483,000 3,487,000 11,897,000 6,063,000 5,905,000 3,528,000 3,312,000 2,763,000 1,991,000 2,383,000 1,148,000 979,000 1,799,000 981,000 981,000 981,000 981,000 
        shares issued and outstanding: 2011 — 2,000; 2010 — 5,536
                                                             38,500,000 38,500,000                                
        mortgage loans receivable, net of allowance for doubtful accounts: 2011 — 945; 2010 — 981
                                                              55,410,000                                
        straight-line rent receivable, net of allowance for doubtful accounts: 2011 — 656; 2010 — 634
                                                              21,757,000                                
        properties held-for-sale, net of accumulated depreciation and amortization: 2011 - 0; 2010 - 0
                                                               2,900,000                               
        mortgage loans receivable, net of allowance for doubtful accounts: 2011 — 961; 2010 — 981
                                                               57,057,000                               
        straight-line rent receivable, net of allowance for doubtful accounts: 2011 — 1,483; 2010 — 1,473
                                                               20,853,000                               
        other assets related to properties held-for-sale
                                                               6,000 211,000                              
        equity shares, series f called for redemption
                                                               88,413,000                               
        buildings and improvements, net of accumulated depreciation and amortization: 2010 — 154,566; 2009 — 142,839
                                                                361,592,000                              
        properties held-for-sale, net of accumulated depreciation and amortization: 2010 — 2,487; 2009 — 2,341
                                                                7,299,000                              
        mortgage loans receivable, net of allowance for doubtful accounts: 2010 — 654; 2009 — 704
                                                                64,801,000                              
        straight-line rent receivable, net of allowance for doubtful accounts: 2010 — 1,262; 2009 — 629
                                                                19,294,000                              
        mortgage loan payable
                                                                                              
        buildings and improvements, net of accumulated depreciation and amortization: 2010 — 153,003; 2009 — 145,180
                                                                 368,300,000                             
        mortgage loans receivable, net of allowance for doubtful accounts: 2010 — 1,498; 2009 — 704
                                                                 67,146,000                             
        straight-line rent receivable, net of allowance for doubtful accounts: 2010 — 1,053; 2009 — 631
                                                                 18,747,000                             
        buildings and improvements, net of accumulated depreciation and amortization: 2010 — 149,014; 2009 — 145,180
                                                                  349,923,000                            
        mortgage loans receivable, net of allowance for doubtful accounts: 2010 — 1,508; 2009 — 704
                                                                  68,155,000                            
        straight-line rent receivable, net of allowance for doubtful accounts: 2010 — 849; 2009 — 631
                                                                  18,021,000                            
        mortgage loans payable
                                                                  7,641,000 7,728,000 15,871,000 31,866,000 32,251,000 32,432,000 46,874,000 47,450,000 47,723,000 47,991,000 48,266,000 57,860,000 58,216,000 58,567,000 59,274,000 70,533,000 70,905,000 87,947,000 116,219,000 116,998,000 123,314,000    136,971,000    
        buildings and improvements, net of accumulated depreciation and amortization: 2009 — 141,473; 2008 — 130,475
                                                                   328,737,000                           
        mortgage loans receivable, net of allowance for doubtful accounts: 2009 — 720; 2008 — 760
                                                                   71,548,000                           
        straight-line rent receivable, net of allowance for doubtful accounts: 2009 — 413; 2008 — 140
                                                                   16,532,000                           
        liabilities and equity
                                                                                              
        buildings and improvements, net of accumulated depreciation and amortization: 2009 — 137,808; 2008 — 130,475
                                                                    331,575,000                          
        mortgage loans receivable, net of allowance for doubtful accounts: 2009 — 740; 2008 — 760
                                                                    73,546,000                          
        straight-line rent receivable, net of allowance for doubtful accounts: 2009 — 530; 2008 — 140
                                                                    15,719,000                          
        noncontrolling interests
                                                                    3,134,000                          
        buildings and improvements, net of accumulated depreciation and amortization: 2009 — 134,144; 2008 — 130,475
                                                                     334,140,000                         
        mortgage loans receivable, net of allowance for doubtful accounts: 2009 — 751; 2008 — 760
                                                                     74,661,000                         
        straight-line rent receivable, net of allowance for doubtful accounts: 2009 — 300; 2008 — 140
                                                                     14,892,000                         
        total stockholders’ equity
                                                                     454,278,000 460,659,000 462,271,000 463,476,000 481,719,000 500,025,000 500,073,000 500,434,000 501,218,000 502,466,000 495,835,000 474,350,000 439,865,000 441,230,000 437,226,000 376,075,000 376,122,000   345,341,000 345,970,000 347,413,000 351,521,000 350,011,000 341,227,000 
        noncontrolling interest
                                                                     3,134,000                         
        buildings and improvements, net of accumulated depreciation and amortization: 2008 - 126,713; 2007 - 115,766
                                                                      336,304,000                        
        properties held for sale, net of accumulated depreciation and amortization: 2008 - 0; 2007 - 0
                                                                                              
        mortgage loans receivable, net of allowance for loan losses: 2008 - 850; 2007 - 890
                                                                      86,731,000                        
        liabilities and stockholders’ equity
                                                                                              
        bond payable
                                                                      4,690,000 4,690,000                       
        minority interest
                                                                      3,134,000 3,134,000 3,135,000 3,518,000 3,518,000 3,518,000  3,518,000 3,518,000 3,518,000 3,518,000 3,518,000 3,518,000 10,293,000 11,005,000 10,831,000  13,155,000 13,283,000 13,155,000 13,399,000 13,155,000 13,404,000 13,155,000 
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2008 – 8,049; 2007 – 8,802
                                                                      189,727,000                        
        total liabilities and stockholders’ equity
                                                                      508,988,000 511,220,000 526,216,000 547,098,000 565,374,000 564,765,000 567,767,000 580,413,000 587,993,000 590,998,000 578,663,000 552,832,000 552,112,000 574,593,000 543,227,000 553,436,000   589,259,000 596,877,000 599,925,000 631,338,000 629,701,000 635,310,000 
        buildings and improvements, net of accumulated depreciation and amortization: 2008 - 123,045; 2007 - 115,766
                                                                       338,430,000                       
        mortgage loans receivable, net of allowance for loan losses: 2008 - 880; 2007 - 890
                                                                       90,160,000                       
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2008 – 8,056; 2007 – 8,802
                                                                       189,901,000                       
        buildings and improvements, net of accumulated depreciation and amortization: 2008 - 119,385; 2007 - 115,766
                                                                        341,178,000                      
        mortgage loans receivable, net of allowance for loan losses: 2008 - 890; 2007 - 890
                                                                        91,065,000                      
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2008 – 8,075; 2007 – 8,802
                                                                        190,363,000                      
        buildings and improvements, net of accumulated depreciation and amortization: 2007 - 112,579; 2006 - 102,091
                                                                         345,323,000                     
        mortgage loans receivable, net of allowance for loan losses: 2007 - 835 2006 - 1,280
                                                                         85,665,000                     
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2007 – 8,805; 2006 – 8,834
                                                                         208,636,000                     
        shares issued and outstanding: 2007 – 22,932; 2006 – 23,569
                                                                         229,000                     
        buildings and improvements, net of accumulated depreciation and amortization: 2007 - 109,043; 2006 - 102,091
                                                                          347,148,000                    
        mortgage loans receivable, net of allowance for loan losses: 2007 - 860 2006 - 1,280
                                                                          88,541,000                    
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2007 – 8,820; 2006 – 8,834
                                                                          209,012,000                    
        buildings and improvements, net of accumulated depreciation and amortization: 2007 - 105,548; 2006 - 102,091
                                                                           349,346,000                   
        mortgage loans receivable, net of allowance for loan losses: 2007 - 980 2006 - 1,280
                                                                           115,043,000                   
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2007 – 8,830; 2006 – 8,834
                                                                           209,256,000                   
        buildings and improvements, net of accumulated depreciation and amortization: 2006—102,091; 2005—88,652
                                                                            351,148,000                  
        properties held for sale, net of accumulated depreciation and amortization: 2006—0; 2005—7,119
                                                                                              
        mortgage loans receivable, net of allowance for doubtful accounts: 2006 and 2005—1,280
                                                                            116,992,000                  
        marketable debt securities
                                                                            9,939,000   9,935,000         9,650,000 8,127,000   8,781,000 8,781,000 
        bonds payable and capital lease obligations
                                                                            5,545,000 5,545,000 5,545,000 5,545,000 13,299,000 13,401,000 13,503,000 14,064,000 14,160,000 14,254,000 14,686,000 14,776,000 14,866,000 14,930,000 15,361,000 15,446,000 15,528,000 15,609,000 
        senior mortgage participation payable
                                                                             2,409,000 9,782,000 9,996,000 11,757,000 14,962,000 15,187,000 17,618,000 17,835,000 18,046,000 18,250,000 29,017,000 29,239,000 29,455,000 29,667,000 29,873,000   
        accrued expenses and other liabilities related to properties held for sale
                                                                                              
        minority interests
                                                                            3,518,000          13,401,000        
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2006—8,834; 2005—8,993
                                                                            209,341,000                  
        buildings and improvements, net of accumulated depreciation and amortization: 2006 - 98,672; 2005 - 88,652
                                                                             351,740,000                 
        properties held for sale, net of accumulated depreciation and amortization: 2006 - 0; 2005 - 7,119
                                                                                              
        mortgage loans receivable, net of allowance for doubtful accounts: 2006 - 1,280 2005 - 1,280
                                                                             118,243,000 125,912,000 131,984,000               
        liabilities related to properties held for sale
                                                                                              
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2006 – 8,946; 2005 – 8,993
                                                                             212,161,000                 
        buildings and improvements, net of accumulated depreciation and amortization:2006 - 96,201; 2005 - 89,545
                                                                              346,690,000                
        properties held for sale, net of accumulated depreciation and amortization: 2006 - 0; 2005 - 6,226
                                                                                              
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2006 – 8,955; 2005 – 8,993
                                                                              212,386,000                
        buildings and improvements, net of accumulated depreciation and amortization: 2006 - 92,864; 2005 - 89,545
                                                                               342,195,000               
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2006 – 8,932; 2005 – 8,993
                                                                               211,792,000               
        buildings and improvements, net of accumulated depreciation and amortization: 2005 - 92,328; 2004 - 82,571
                                                                                374,574,000              
        properties held for sale, net of accumulated depreciation and amortization: 2005 -0; 2004: -798
                                                                                              
        mortgage loans receivable, net of allowance for doubtful accounts: 2005 and 2004 - 1,280
                                                                                152,460,000 112,189,000 101,639,000            
        remic certificates
                                                                                 30,616,000 40,796,000 43,879,000 45,159,000 63,084,000 61,662,000 62,302,000 62,933,000 64,122,000 64,419,000 68,545,000 69,066,000 72,297,000 
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2005 – 9,001; 2004 – 9,201
                                                                                213,534,000              
        buildings and improvements, net of accumulated depreciation and amortization: 2005 - 89,756; 2004 - 83,369
                                                                                 357,635,000             
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2005 – 9,023; 2004 – 9,201
                                                                                 214,073,000             
        buildings and improvements, net of accumulated depreciation and amortization: 2005 - 86,537; 2004 - 83,369
                                                                                  358,193,000            
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2005 – 9,032; 2004 – 9,201
                                                                                  214,312,000            
        buildings and improvements, net of accumulated depreciation and amortization: 2004 - 80,226;2003 - 70,895
                                                                                   357,843,000           
        properties held for sale, net of accumulated depreciation and amortization: 2004 - 0; 2003 - 2,481
                                                                                              
        mortgage loans receivable, net of allowance for doubtful accounts: 2004 and 2003 - 1,280
                                                                                   76,754,000 75,469,000 74,752,000         
        liability for series a 9.5% preferred stock redemption – 1,226 shares
                                                                                              
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2004 – 9,674;2003 - 8,026
                                                                                   230,358,000           
        buildings and improvements, net of accumulated depreciation and amortization: 2004 - 78,853; 2003 - 72,597
                                                                                    364,913,000          
        properties held for sale, net of accumulated depreciation and amortization: 2004 - 0; 2003 - 779
                                                                                              
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2004 - 7,405; 2003 - 8,026
                                                                                    173,625,000          
        buildings and improvements, net of accumulated depreciation and amortization: 2004 - 76,390; 2003 - 73,299
                                                                                     357,195,000         
        properties held for sale, net of accumulated depreciation and amortization: 2004 - 0; 2003 - 77
                                                                                              
        liability for series a 9.5% preferred stock redemption
                                                                                              
        preferred stock 0.01 par value: 15,000 shares authorized; shares issued and outstanding: 2004 - 8,200; 2003 - 8,026
                                                                                     193,500,000         
        prepaid expenses and other assets related to properties held for sale
                                                                                              
        liability for 9.5% series a preferred stock redemption — 1,226 shares
                                                                                      30,642,000        
        preferred stock 0.01 par value: 2003 — 15,000 shares authorized; shares issued and outstanding: 2003 — 8,026; 2002 — 7,062
                                                                                      189,163,000        
        common stock 0.01 par value...
                                                                                      178,000    181,000    
        line of credit due from clc healthcare, inc.
                                                                                       4,047,000 5,245,000 4,745,000  5,341,000 5,478,000 5,435,000 
        mortgage loans and notes payable
                                                                                       127,617,000 129,479,000 136,384,000  137,527,000 146,283,000 160,518,000 
        preferred stock 0.01 par value: 2003 - 15,000 shares authorized; shares issued and outstanding: 2003 - 9,252; 2002 - 7,062
                                                                                       217,484,000       
        buildings and improvements, net of accumulated depreciation and amortization: 2003 - 69,877; 2002 - 63,495
                                                                                        372,503,000      
        properties held for sale, net of accumulated depreciation and amortization: 2003 - 0; 2002 - 821
                                                                                              
        mortgage loans receivable, net of allowance for doubtful accounts: 2003 - 1,280; 2002 - 1,280
                                                                                        83,642,000 82,297,000     
        preferred stock 0.01 par value: 2003 - 15,000 shares authorized; shares issued and outstanding: 2003 - 7,052; 2002 - 7,062
                                                                                        164,986,000      
        buildings and improvements, net of accumulated depreciation and amortization: 2003 - 67,512; 2002 - 64,316
                                                                                         375,898,000     
        preferred stock 0.01 par value: 10,000 shares authorized; shares issued and outstanding: 2003 - 7,052; 2002 - 7,062
                                                                                         164,986,000     
        advance on line of credit due from clc healthcare, inc.
                                                                                          4,741,000    
        convertible subordinated debentures
                                                                                              
        preferred stock 0.01 par value: 10,000 shares authorized; shares issued and outstanding: 2002 - 7,062; 2001 - 7,062
                                                                                           165,183,000   
        notes receivable from stockholders
                                                                                           -7,712,000 -7,822,000 -7,848,000 
        deferred compensation
                                                                                           -163,000   
        accumulated comprehensive income
                                                                                           2,741,000 2,465,000 2,465,000 
        buildings and improvements, net of accumulated depreciation and amortization: 2002—62,551; 2001—58,583
                                                                                            394,327,000  
        mortgage loans receivable, net of allowance for doubtful accounts: 2002—1,280; 2001—1,250
                                                                                            84,841,000  
        preferred stock 0.01 par value: 10,000 shares authorized; shares issued and outstanding: 2002—7,062; 2001—7,062
                                                                                            165,183,000  
        buildings and improvements, net of accumulated depreciation and amortization: 2002 – 62,114; 2001 – 58,583
                                                                                             408,026,000 
        mortgage loans receivable, net of allowance for doubtful accounts: 2002 – 1,280; 2001 – 1,250
                                                                                             87,270,000 
        preferred stock 0.01 par value: 10,000 shares authorized; shares issued and outstanding: 2002 – 7,062; 2001 – 7,062
                                                                                             165,183,000 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-09-30 2011-06-30 2011-03-31 2010-09-30 2010-06-30 2010-03-31 2009-09-30 2009-06-30 2009-03-31 2008-09-30 2008-06-30 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 2003-12-31 2003-09-30 2003-06-30 2003-03-31 2002-12-31 2002-09-30 2002-06-30 2002-03-31 
                                                                                                
          operating activities:
                                                                                                
          net income
        24,956,000 103,651,000 -18,540,000 16,548,000 22,221,000 19,590,000 30,862,000 19,738,000 24,689,000 28,670,000 22,627,000 6,604,000 33,561,000 18,198,000 13,389,000 54,490,000 14,507,000 12,930,000 11,114,000 18,330,000 13,850,000 17,665,000 12,338,000 1,952,000 63,722,000 12,631,000 27,280,000 20,534,000 20,427,000 30,844,000 34,937,000 68,936,000 20,359,000  20,616,000 25,377,000 21,513,000 20,666,000 22,411,000 22,180,000 19,858,000 17,954,000 19,647,000 17,928,000 17,552,000 21,000,000 17,122,000 18,273,000 17,004,000 17,286,000 12,903,000 12,976,000 12,504,000 13,113,000 12,932,000 12,423,000 12,262,000 12,154,000 11,562,000 11,630,000 10,570,000 11,326,000 10,740,000 11,238,000 10,628,000 11,377,000 11,158,000 11,421,000 12,843,000 12,385,000 11,948,000 11,110,000 11,989,000 43,741,000 10,257,000 10,134,000 21,504,000 9,288,000 8,023,000 9,901,000 8,002,000 6,053,000 6,380,000 3,884,000 4,706,000 6,554,000 14,362,000 6,181,000 
          adjustments to reconcile net income to net cash from operating activities:
                                                                                                
          depreciation and amortization
        11,979,000 10,949,000 8,987,000 8,776,000 9,162,000 9,194,000 9,054,000 9,024,000 9,095,000 9,331,000 9,499,000 9,376,000 9,210,000 9,294,000 9,385,000 9,379,000 9,438,000 9,449,000 9,462,000 9,508,000 9,877,000 9,839,000 9,766,000 9,797,000 9,669,000 9,817,000 9,932,000 9,860,000 9,607,000 9,396,000 9,447,000 9,268,000 9,444,000  9,519,000 9,308,000 9,359,000 9,309,000 9,155,000 8,907,000 8,561,000 8,310,000 7,365,000 6,977,000 6,779,000  6,335,000 6,302,000 6,298,000   6,136,000        4,014,000 3,860,000 3,694,000 3,694,000 3,701,000           3,513,000 3,317,000 3,253,000 3,270,000 3,250,000 3,179,000   3,275,000 3,232,000 3,462,000 3,554,000 3,671,000 3,713,000 
          stock-based compensation expense
        2,064,000 2,141,000 2,140,000 2,795,000 2,253,000 2,261,000 2,269,000 2,320,000 2,202,000 2,132,000 2,123,000 2,138,000 2,088,000 2,013,000 2,014,000 2,012,000 1,925,000 1,975,000 1,975,000 1,958,000 1,852,000 1,781,000 1,692,000 1,762,000 1,777,000 1,628,000 1,626,000 1,623,000 1,689,000 1,486,000 1,487,000 1,521,000 1,376,000  1,283,000 1,425,000 1,259,000 1,131,000 1,130,000 1,029,000 990,000 913,000 1,012,000 1,099,000 982,000 927,000 877,000 783,000 666,000 542,000 523,000 985,000 445,000 458,000 452,000 374,000 363,000 358,000 261,000 355,000 366,000 360,000 351,000 314,000 306,000 306,000 311,000 631,000 635,000 344,000                   
          loss on sale of real estate
        10,000                -102,000    773,000                                                                    
          income tax provision
        110,000                                                                                        
          income from unconsolidated joint ventures
        -295,000 -2,214,000 -439,000 -439,000 -3,665,000 -703,000 -692,000 -671,000 -376,000 -377,000 -375,000 -376,000 -376,000 -377,000 -376,000 -376,000 -375,000 -376,000 -376,000 -376,000 -289,000 -145,000 -56,000 -231,000 -415,000 -760,000 -128,000 -1,085,000 -761,000 -746,000 -726,000 -631,000  -615,000 -575,000 -445,000 -299,000 -289,000 -278,000 -272,000 -276,000 -674,000                                              
          income distributions from unconsolidated joint ventures
        295,000 2,261,000 440,000 439,000 3,699,000 439,000 418,000 309,000 112,000           164,000 183,000 18,000 231,000 414,000 1,175,000 297,000 1,105,000 644,000 471,000 713,000 543,000  482,000 398,000 356,000 286,000 382,000 759,000 268,000                                                
          straight-line rental adjustment
        334,000 184,000 372,000 497,000 578,000  -37,000 48,000 550,000 443,000 747,000 423,000 465,000 406,000 436,000 293,000 234,000                                                                        
          adjustment for collectability of straight-line rental income
         1,271,000 243,000                                                                                    
          adjustment for collectability of lease incentives
         249,000                                                                                    
          amortization of lease incentives
        131,000 131,000 176,000 181,000 199,000 192,000 188,000 205,000 233,000 189,000 171,000 204,000 209,000 212,000 236,000 206,000 223,000 222,000 158,000 116,000 112,000 109,000 108,000 108,000 101,000 104,000 100,000 94,000 87,000 441,000 560,000 551,000 540,000                                                        
          (recovery) provision for credit losses
        -684,000                   -9,000                                                                    
          amortization of debt issue costs
        501,000 435,000 411,000 509,000 271,000 268,000 256,000 268,000 267,000 305,000 300,000 300,000 300,000 298,000 294,000                                                                          
          other non-cash items
        2,000 3,000 18,000 22,000 24,000 24,000 23,000 24,000 24,000 24,000 24,000 24,000 23,000 283,000 -174,000 961,000 -957,000 190,000 261,000 261,000 260,000 261,000 260,000 256,000 256,000 256,000 255,000 253,000 252,000 257,000 260,000 340,000 323,000  321,000 323,000 314,000 307,000 304,000 314,000 291,000 315,000 225,000 230,000 215,000 502,000 406,000 376,000 369,000 142,000 34,000 178,000 349,000 317,000 325,000 393,000 434,000 389,000 239,000 228,000 268,000 391,000 469,000 204,000 129,000 109,000 164,000                      
          change in operating assets and liabilities
                                                                                                
          increase in interest receivable
        -1,921,000 -2,640,000 10,000 -4,156,000 -2,951,000 -3,266,000 -2,989,000 -1,915,000 -2,220,000 -678,000 -4,012,000 -2,514,000 -2,079,000 -2,405,000 -1,577,000 -1,548,000 -1,643,000 -2,046,000 -1,499,000 -1,486,000 -1,745,000 -1,499,000 -1,547,000 -1,604,000 -1,511,000 -1,487,000 -1,459,000 -1,464,000 -1,444,000 -1,442,000 -1,426,000 -1,408,000 -1,406,000  -1,395,000 -1,387,000 -1,185,000  -1,347,000 -1,272,000 -1,279,000                                                
          decrease in accrued interest payable
        -76,000            -1,112,000    -655,000  -921,000 746,000 -869,000          -1,637,000 991,000 -1,162,000    -416,000    -1,122,000  -1,020,000 1,102,000 -1,084,000    -1,074,000                                        
          net change in other assets and liabilities
        -6,643,000 207,000 29,000 4,923,000 -5,423,000 3,261,000 -495,000 6,798,000 -9,948,000 -3,926,000 7,135,000 1,060,000 -8,513,000 2,433,000 932,000 3,296,000 -4,546,000 -2,184,000 3,823,000 4,116,000 -2,793,000 -1,519,000 2,574,000 899,000 -3,975,000 -747,000 -1,061,000 4,693,000 -4,635,000 2,541,000 2,461,000 2,141,000 -4,107,000  1,318,000 -3,955,000 -7,553,000 -1,494,000 1,287,000 2,074,000 -5,606,000 4,595,000 3,038,000 1,786,000 -4,029,000 1,180,000 973,000 309,000 -2,827,000 2,178,000 497,000 -1,061,000 946,000   -242,000   195,000   566,000             -288,000 194,000 923,000 -404,000 1,155,000 20,000   -563,000 -1,753,000  522,000 146,000 -1,889,000 
          net cash from operating activities
        30,763,000 37,939,000 38,440,000 30,027,000 29,571,000 33,293,000 33,969,000 36,960,000 20,950,000 25,471,000 32,398,000 28,495,000 18,039,000 32,814,000 24,328,000 29,876,000 18,568,000 21,603,000 20,937,000 27,385,000 21,259,000 30,472,000 29,982,000 31,793,000 23,854,000 32,377,000 28,420,000 34,885,000 26,787,000 32,097,000 27,967,000 33,878,000 21,593,000  28,796,000 26,288,000 21,050,000 26,063,000 28,811,000 31,229,000 19,605,000 31,807,000 26,575,000 26,095,000 17,864,000 26,477,000 24,048,000 25,408,000 19,829,000 21,431,000 21,353,000 17,384,000 20,581,000 19,992,000 16,838,000 17,366,000 18,703,000 15,818,000 16,274,000 16,683,000 14,973,000 15,422,000 15,655,000 13,865,000     16,357,000 13,278,000 14,982,000 14,260,000 13,939,000 13,394,000 13,821,000     12,492,000   9,828,000 7,424,000 10,721,000 11,796,000 11,323,000 9,063,000 
          capital expenditures
                   
          free cash flows
        30,763,000 37,939,000 38,440,000 30,027,000 29,571,000 33,293,000 33,969,000 36,960,000 20,950,000 25,471,000 32,398,000 28,495,000 18,039,000 32,814,000 24,328,000 29,876,000 18,568,000 21,603,000 20,937,000 27,385,000 21,259,000 30,472,000 29,982,000 31,793,000 23,854,000 32,377,000 28,420,000 34,885,000 26,787,000 32,097,000 27,967,000 33,878,000 21,593,000  28,796,000 26,288,000 21,050,000 26,063,000 28,811,000 31,229,000 19,605,000 31,807,000 26,575,000 26,095,000 17,864,000 26,477,000 24,048,000 25,408,000 19,829,000 21,431,000 21,353,000 17,384,000 20,581,000 19,992,000 16,838,000 17,366,000 18,703,000 15,818,000 16,274,000 16,683,000 14,973,000 15,422,000 15,655,000 13,865,000     16,357,000 13,278,000 14,982,000 14,260,000 13,939,000 13,394,000 13,821,000     12,492,000   9,828,000 7,424,000 10,721,000 11,796,000 11,323,000 9,063,000 
          investing activities:
                                                                                                
          investment in real estate properties
        -108,153,000 -86,418,000    -4,000 -315,000   -2,000       -13,581,000 -20,080,000 -22,222,000 -141,000 -15,971,000 -14,506,000    -64,000   -1,474,000 -5,553,000 -51,896,000 -16,000,000 -35,155,000 -156,828,000 -1,326,000 -13,031,000 -11,200,000       -60,500,000                                    
          investment in real estate capital improvements
        -2,665,000 -597,000 -4,178,000 -1,169,000 -1,326,000 -3,767,000 -6,273,000 -2,306,000 -1,329,000 -4,633,000 -1,823,000 -622,000 -2,608,000 -4,439,000 -1,650,000 -1,837,000 -1,068,000 -1,459,000 -2,793,000 -1,002,000 -1,044,000 -2,958,000 -902,000 -1,934,000 -1,119,000 -718,000 -1,053,000 -809,000 -259,000 -1,186,000 -300,000 -1,229,000 -534,000  -113,000 -1,453,000 -742,000 -1,226,000 -1,479,000 -834,000 -3,253,000 -1,342,000 -243,000 -1,021,000 -4,928,000 -1,789,000 -730,000 -4,038,000 -7,410,000 -1,884,000 -2,148,000 -2,358,000 -1,951,000                                    
          proceeds from sale of real estate
        -10,000 120,987,000 2,528,000 1,674,000 1,512,000 5,226,000 7,977,000 358,000 25,306,000 14,864,000 13,857,000 5,937,000 31,616,000 -8,000 269,000   -1,000 7,096,000 34,767,000 1,765,000 236,000 71,905,000 5,941,000 7,837,000 6,000 225,000 10,409,000 17,954,000      8,895,000 6,724,000 1,750,000                                                
          investment in financing receivables
        -314,000 -887,000                                                                                      
          proceeds from the sale of properties accounted for as a financing receivable
        62,220,000                                                                                        
          investment in real estate mortgage loans receivable
        -8,005,000 -8,432,000 -57,665,000 -39,616,000 -1,919,000 -2,755,000 -3,024,000 -12,926,000 -3,128,000 30,000 -1,657,000 -17,377,000 -53,226,000 -5,498,000 -1,324,000 -32,884,000 -1,026,000 -86,874,000 -1,655,000 -268,000 -158,000 -77,000 -1,619,000 -2,191,000 -366,000 -1,423,000 -1,183,000 -8,282,000 -1,454,000 -834,000 -8,876,000 -2,044,000 -9,610,000  -1,504,000 -3,445,000 -4,384,000 -1,572,000 -1,985,000 -10,529,000 -6,599,000                                                
          principal payments received on mortgage loans receivable
        125,000 16,506,000 21,280,000 327,000 124,000 51,431,000 32,081,000 2,268,000 125,000 10,050,000 50,000 126,000 125,000 550,000 500,000 125,000 550,000 500,000 125,000 500,000 500,000 65,000 500,000 500,000 65,000 500,000 1,599,000 37,000  12,000 6,381,000 10,958,000 6,161,000 519,000 583,000 1,015,000 527,000 799,000 696,000 2,786,000 7,546,000 555,000 535,000 519,000 491,000 476,000 462,000 1,104,000 3,034,000 718,000 1,366,000 1,654,000 1,966,000 1,032,000 990,000 967,000 1,992,000 1,138,000 3,058,000 3,419,000 8,165,000 1,343,000 2,891,000 26,756,000 2,291,000                   
          investments in unconsolidated joint ventures
        -34,000 -522,000 -548,000   -98,000           -5,676,000 -2,122,000 -6,340,000 -58,000 -78,000 -101,000 -293,000 -90,000 -83,000 -117,000 -380,000  -113,000 -2,820,000 -914,000 -1,289,000 -1,000                                                  
          proceeds from liquidation of investments in unconsolidated joint ventures
         6,340,000 13,000,000                 90,000 294,000                                                                  
          principal payments received on notes receivable
        58,000 179,000 17,151,000 650,000 238,000 166,000 10,974,000 1,744,000 550,000 150,000 1,112,000 785,000 5,180,000 225,000 5,331,000 1,287,000 141,000 2,553,000 543,000 2,569,000   57,000 3,397,000 8,000 41,000 1,496,000    25,000 10,000 30,000 30,000 30,000     1,000 40,000   303,000 2,299,000 114,000 82,000 191,000 185,000 181,000 178,000 407,000 155,000 851,000 172,000 184,000 181,000 376,000 156,000 153,000 133,000 241,000 629,000 3,469,000 326,000 214,000 171,000 50,000 49,000 15,023,000            
          net cash from investing activities
        -56,778,000 47,156,000 -290,403,000 -38,326,000 11,629,000 50,301,000 41,388,000 -22,218,000 21,209,000 19,342,000 -6,853,000 -55,171,000 -132,230,000 -9,442,000 -64,691,000 -10,343,000 -35,473,000 -97,543,000 -1,994,000 33,842,000 -4,091,000 -8,051,000 -9,866,000 10,188,000 51,660,000 -21,876,000 -13,037,000 -15,659,000 -28,416,000 -1,235,000 -11,757,000 28,720,000 -19,337,000  -6,822,000 -47,884,000 891,000 -19,396,000 -11,922,000 -71,006,000 -37,574,000 -63,749,000 -163,900,000 -46,417,000 -52,754,000 7,517,000 -13,318,000 -7,310,000 -15,923,000 -387,000 -5,180,000 -6,707,000 -61,707,000         1,347,000 176,000 2,313,000     29,711,000 1,516,000 -6,564,000 427,000 -2,909,000 68,616,000     7,305,000 3,326,000   -1,960,000 549,000 1,495,000 2,611,000 10,822,000 4,392,000 
          financing activities:
                                                                                                
          net borrowings under revolving line of credit
        30,100,000                                                                                        
          repayment of debt
        -5,000,000                                                                                        
          proceeds from common stock issued
        43,412,000 41,239,000 45,531,000 5,300,000 8,485,000 16,775,000 54,655,000 6,521,000 4,453,000 52,000,000 1,777,000 29,199,000 4,754,000                   14,578,000                                                   
          payments of common share issuance costs
        -118,000 -83,000 -148,000 -131,000 -74,000                                                                                    
          distributions paid to stockholders
        -29,171,000 -27,382,000 -26,456,000 -26,297,000 -27,259,000 -25,846,000 -25,281,000 -24,787,000 -24,616,000 -23,997,000 -23,605,000 -23,599,000 -23,563,000 -23,307,000 -23,087,000 -22,635,000 -22,480,000 -22,443,000 -22,443,000 -22,439,000 -23,169,000 -22,368,000 -22,368,000 -22,359,000 -23,167,000 -22,658,000 -22,658,000 -22,652,000 -22,931,000 -22,604,000 -22,600,000 -22,590,000 -22,578,000  -22,554,000 -22,558,000 -22,552,000 -22,357,000 -21,180,000 -20,684,000 -20,347,000 -19,923,000 -18,959,000 -18,949,000 -18,934,000 -18,702,000 -18,589,000 -18,580,000 -18,560,000 -16,978,000 -16,350,000 -15,035,000 -14,681,000                                    
          acquisition of and distributions paid to non-controlling interests
                                                                                              
          financing costs paid
        -41,000 -1,828,000 -4,540,000   -53,000 -105,000 -9,000 -402,000 -49,000 1,000 -20,000 -46,000 -40,000 -1,095,000 -27,000 -3,323,000     -20,000 -6,000   -111,000    -62,000 -301,000 -17,000 -18,000   -983,000 -30,000   -1,970,000 -116,000 -35,000 -11,000 -2,000                                       
          cash paid for taxes in lieu of shares upon vesting of restricted stock
        -5,875,000 -437,000 -4,772,000 -1,000 -1,532,000 -81,000 -1,538,000                                                                            
          other
        -12,000 -11,000 1,000 -2,000 -29,000     -6,000 -12,000 -46,000 -12,000 3,537,000 -3,545,000 -23,000 -6,000 -2,024,000 -21,000 -116,000 -1,064,000  -296,000 -1,658,000 -15,000 -41,000 -858,000 -1,316,000 -939,000 -8,000 -9,000 -329,000     -23,000   151,000     66,000       31,000 160,000 162,000 421,000 348,000 306,000  576,000 350,000 1,095,000 2,065,000 -344,000 -99,000 -2,215,000 613,000 72,000 -220,000 -193,000 -22,000 1,587,000 
          net cash from financing activities
        33,295,000 -88,641,000 262,287,000 -7,387,000 -27,319,000 -109,220,000 -46,491,000 -17,578,000 -53,435,000 -35,829,000 -21,269,000 28,164,000 109,350,000 -19,471,000 40,440,000 -17,525,000 16,137,000 35,642,000 20,802,000 -63,714,000 -16,739,000 -37,460,000 -47,675,000 -22,499,000 -48,870,000 -12,325,000 -14,630,000 -22,734,000 5,688,000 -48,669,000 -345,000 -59,676,000 -3,685,000  -27,431,000 22,163,000 -21,200,000 -2,289,000 -31,032,000 33,253,000 29,307,000 33,155,000 141,003,000 24,956,000 13,070,000 -16,346,000 -11,205,000 -17,576,000 -3,142,000 -24,021,000 37,521,000 -8,247,000 39,087,000   -5,348,000 -37,344,000 52,717,000  -8,255,000 11,194,000                   -29,989,000   -13,523,000 -7,086,000 -27,183,000 -6,140,000 -10,661,000 -16,560,000 
          increase in cash and cash equivalents
        7,280,000 -3,546,000   13,881,000 -25,626,000    8,984,000 4,276,000   3,901,000 77,000 2,008,000 -768,000                -1,429,000   567,000 741,000   -6,524,000 11,338,000 1,213,000 3,678,000 4,634,000 -21,820,000 17,648,000 -475,000 522,000 764,000 -2,977,000 53,694,000 2,430,000 -2,039,000     16,487,000   10,354,000   570,000    -14,402,000 32,589,000 1,086,000 -16,067,000 -5,408,000 -3,462,000 51,255,000      -14,171,000 6,443,000 8,243,000 -5,655,000 887,000 -14,967,000 8,267,000 11,484,000 -3,105,000 
          cash and cash equivalents, beginning of period
        14,387,000 9,414,000 20,286,000 10,379,000 5,161,000                5,213,000 7,991,000 12,942,000    6,778,000 7,191,000 4,408,000 6,903,000 8,856,000 21,118,000 42,631,000 29,887,000  3,569,000 4,315,000 17,919,000  8,001,000  6,322,000 
          cash and cash equivalents, end of period
        21,667,000 -3,546,000 10,324,000 -15,686,000 23,295,000 -25,626,000 28,866,000 -2,836,000 9,010,000 8,984,000 4,276,000 1,488,000 5,538,000 3,901,000 77,000 2,008,000 4,393,000                3,784,000 1,371,000 -5,457,000 567,000 8,732,000 4,378,000 -14,143,000 -6,524,000 24,280,000 1,213,000 3,678,000    -475,000 522,000 7,542,000 -2,977,000 53,694,000 9,621,000 -2,039,000 7,016,000 3,297,000 -1,181,000 -16,995,000 23,390,000 6,995,000 -13,712,000 19,210,000 -9,032,000 -7,580,000 21,688,000 2,241,000 -11,959,000 25,868,000 -14,402,000 32,589,000 30,973,000  -5,408,000 -3,462,000 54,824,000 -10,021,000 1,143,000 12,819,000 42,104,000 -955,000 3,748,000  8,243,000 -5,655,000 8,888,000  8,267,000 11,484,000 3,217,000 
          supplemental disclosure of cash flow information:
                                                                                                
          interest paid
        10,357,000 10,356,000 7,253,000 7,547,000 7,812,000 8,760,000 11,007,000 10,499,000 9,782,000 12,142,000 12,351,000 11,264,000 11,421,000 6,418,000 8,473,000 6,384,000 7,534,000 6,016,000 7,271,000 5,855,000 7,582,000 5,912,000 8,389,000 6,207,000 8,935,000 6,336,000 8,867,000 6,362,000 7,202,000 6,247,000 8,875,000 6,325,000 8,669,000  7,758,000 6,545,000 7,574,000 5,486,000 6,957,000 5,240,000 6,807,000 3,848,000 5,085,000 2,371,000 4,774,000 2,617,000 4,476,000 2,226,000 4,375,000 3,830,000 1,922,000 4,118,000 1,642,000 2,063,000 1,855,000 1,491,000 1,006,000 1,031,000 216,000 332,000 308,000 328,000 795,000 796,000 808,000 1,106,000 1,109,000 2,426,000 -71,000 1,194,000 2,080,000 1,635,000 1,594,000 1,736,000 2,100,000 2,101,000 2,105,000 2,860,000 3,238,000 3,262,000 3,547,000 4,258,000 4,131,000 4,676,000 4,934,000 4,961,000 4,796,000 5,255,000 
          non-cash investing and financing transactions:
                                                                                                
          write-off of notes receivable
          -2,693,000                                                                                    
          increase in fair value of interest rate swap agreements
        1,074,000       -233,000 378,000  28,000 1,211,000 -1,362,000  3,306,000 1,435,000 4,876,000                                                                        
          distributions paid to non-controlling interests
        -1,363,000  -1,455,000 -1,456,000 -2,448,000 -109,000  -405,000 -406,000 -406,000 683,000 -77,000 -998,000 -95,000 -92,000 -92,000 -91,000 -88,000 -92,000 -128,000 -97,000 -146,000 -66,000 -66,000 -87,000 -90,000                       -10,000                                    
          transfer of joint venture partner's non-controlling interest to ltc
          2,883,000                                                                                    
          distributions to non-controlling interests related to sale of properties accounted for as a financing receivable
        -14,325,000                                                                                        
          impairment loss
                 3,265,000 12,076,000 434,000                                                                            
          gain on sale of real estate
         -78,057,000 738,000 -332,000 -171,000 -1,097,000 -3,663,000 32,000 -3,251,000 -16,751,000 -4,870,000 -302,000 -15,373,000 -21,000 387,000   -70,000 -2,702,000   -44,000 -30,000 -189,000 -43,854,000 4,630,000 -6,236,000   -7,984,000 -14,353,000                                                         
          write-off of effective interest receivable
                                                                                               
          provision for credit losses
         873,000 203,000 387,000 3,052,000 -201,000 215,000 703,000 24,000 3,571,000 189,000 187,000 1,731,000                                                                            
          application of interest reserve
             -181,000 -52,000 -151,000 -179,000 -460,000 -1,149,000 -1,844,000 -1,897,000                                                                          
          lease incentives funded
             -130,000 -200,000 -199,000 -1,395,000 -604,000 -1,004,000   -410,000 -8,000 -174,000 -470,000   -170,000 -37,000 -13,000 -65,000 -39,000                                                             
          increase in accrued interest payable
         -203,000 1,127,000 -42,000 -170,000   136,000 996,000               1,084,000 -1,480,000   1,097,000 13,000                     -1,220,000 1,011,000 -994,000 1,164,000 -223,000 23,000 156,000        1,000                         
          advances and originations under notes receivable
            -152,000   -1,119,000 -18,392,000 -261,000 -605,000 -184,000 -220,000 -1,997,000 -34,791,000 -9,900,000 -4,642,000 -155,000 -1,656,000 -712,000 -755,000 -470,000 -141,000 -436,000 -765,000 -813,000 -6,953,000 -74,000                                                           
          net borrowings (repayments) under revolving line of credit
                                                                                                
          proceeds from debt
                                                                                                
          income tax benefit
          42,000                                                                                      
          borrowings from revolving line of credit
          379,900,000 38,600,000 15,000,000 8,000,000 8,900,000 10,300,000 3,000,000 49,500,000 62,250,000 162,700,000 95,000,000 52,000,000 47,000,000                                                                        
          repayment of term loans
                                                                                                
          repayment of revolving line of credit
          -18,900,000 -10,500,000 -103,800,000 -41,600,000 -4,200,000 -35,500,000 -63,000,000 -13,600,000 -6,000,000 -22,600,000 -21,000,000                                                                          
          principal payments on senior unsecured notes
          -32,000,000 -5,500,000 -7,000,000 -5,000,000 -34,160,000 -4,000,000 -6,000,000 -5,000,000 -33,160,000 -4,000,000 -7,000,000 -5,000,000 -36,160,000 -7,000,000 -15,000,000 -25,160,000 -7,000,000 -15,000,000    -19,000,000 -10,500,000 -4,167,000 -18,000,000 -16,000,000 -4,166,000  -15,000,000 -4,167,000 -10,000,000 -12,500,000 -4,167,000 -25,000,000 -4,167,000 -4,167,000                                        
          contribution from non-controlling interest
                 1,000                                                                              
          exchange of mortgage loans for controlling interests in joint ventures accounted for as financing receivables
                                                                                               
          accretion of interest reserve recorded as mortgage loan receivable
              181,000 52,000  179,000 460,000 1,149,000                                                                            
          decrease in fair value of interest rate swap agreements
          -729,000 -717,000 -910,000                                                                                    
          distributions paid to non-controlling interests related to property sale
              2,305,000                                                                                
          decrease in cash and cash equivalents
               -2,836,000 -11,276,000    -4,841,000                     1,371,000                                                       
          acquisitions of and distributions paid to non-controlling interests
            -1,188,000                                                                                    
          straight-line rental (income) adjustment
                                                                                                
          exchange of prepayment fee for participating interest in mortgage loan
                 -1,380,000                                                                            
          adjustment for collectability of lease incentives and rental income
                                                                                           
          investment in real estate developments
                            -3,315,000 -3,036,000 -5,494,000 -4,854,000 -5,472,000 -2,040,000 -6,055,000 -6,957,000 -9,562,000 -7,094,000 -10,032,000 -8,591,000  -4,784,000 -5,712,000 -3,443,000 -6,719,000 -9,292,000 -12,892,000 -13,439,000 -11,469,000 -6,654,000 -2,765,000 -5,041,000                                            
          proceeds from issuance of senior unsecured notes
                                        100,000,000 40,000,000   100,000,000                                              
          contribution from non-controlling interests
                               919,000 -873,000 919,000 2,882,000                                                          
          exchange of mezzanine loan and related prepayment fee for participating interest in mortgage loan
                  -8,841,000                                                                            
          reserves withheld at financing and mortgage loan receivable origination
                  -10,294,000 5,147,000                                                                            
          mortgage loan receivable reserve withheld at origination
                  756,000 750,000                                                                            
          borrowings from term loans
                                                                                                
          investment in financing receivable
                  -112,712,000 -86,000                                                                           
          contribution of financing receivable from non-controlling interest
                    3,831,000                                                                            
          loss on unconsolidated joint ventures
                             138,000                                                                  
          provision (recovery) for credit losses
                       305,000 354,000 962,000                                                                       
          capitalized interest
                             -77,000 -86,000 -191,000 -167,000 -108,000 -73,000 -260,000 -398,000 -298,000 -293,000 -259,000  -256,000 -201,000 -170,000 -215,000 -251,000 -256,000 -686,000 -346,000 -184,000 -150,000 -147,000 -290,000 -474,000 -435,000 -307,000                                        
          stock repurchase plan
                             -18,012,000                                                                
          cash paid for taxes in lieu of shares upon vesting of restricted stock and performance-based stock units
                     -100,000 -1,255,000 -103,000 -3,470,000                                                                    
          impairment charges
                             3,036,000                                                                   
          preferred return reserve related to investments in unconsolidated joint ventures
                                                                                               
          notes receivable reserve withheld at origination
                                                                                                
          adjustment for collectability of rental income and lease incentives
                       173,000                                                                        
          application of interest reserve recorded as mortgage loan receivable
                       1,230,000 1,221,000                                                                        
          straight-line rental income
                         152,000 44,000 19,000 -682,000 -77,000 -228,000 -634,000 -839,000 -889,000 -1,085,000 -1,275,000 -1,238,000 -921,000 -3,189,000 -2,000,000 -3,440,000  -2,055,000 -2,440,000 -2,867,000 -5,276,000 -2,747,000 -2,619,000 -2,835,000 -3,076,000 -2,607,000 -2,178,000 -2,275,000  -674,000 -608,000 -639,000   -937,000                            -281,000         
          adjustment for collectibility of rental income and lease incentives
                         758,000                                                                   
          stock option exercises
                                    123,000  123,000       794,000 39,000 238,000 523,000 1,180,000                                    
          increase in cash, cash equivalents and restricted cash
                         -40,298,000 39,745,000 -2,487,000 429,000 -15,039,000 -27,559,000 19,482,000 26,644,000  753,000 -3,508,000 4,059,000  15,865,000                                                          
          cash, cash equivalents and restricted cash, beginning of period
                         7,772,000 4,244,000 4,764,000                                                          
          cash, cash equivalents and restricted cash, end of period
                         -40,298,000 39,745,000 -2,487,000 8,201,000 -15,039,000 -27,559,000 19,482,000 30,888,000 -1,824,000 753,000 -3,508,000 8,823,000 -17,807,000 15,865,000                                                          
          bank borrowings
                          75,500,000 17,000,000 24,000,000 34,500,000 36,500,000 36,900,000 19,700,000 42,500,000 30,000,000 24,000,000  16,000,000 45,000,000 3,500,000 40,100,000 6,000,000 37,000,000 40,500,000 24,000,000 185,000,000 45,500,000 36,500,000 9,000,000 7,500,000 1,000,000 20,000,000 2,000,000 29,500,000 6,000,000 17,000,000 19,000,000 70,000,000 49,000,000 20,500,000 17,000,000                           
          repayment of bank borrowings
                          -7,000,000   -28,000,000 -106,000,000 -18,000,000 -2,000,000 -27,700,000 -8,000,000    -6,000,000 -110,600,000 -10,000,000 -51,000,000   -69,000,000 -100,000,000   -28,500,000      -62,000,000                                    
          reclassification of notes receivable to lease incentives
                              300,000                                                               
          preferred return reserve related to investments in unconsolidated joint venture
                            2,324,000                                                                    
          insurance proceeds for damaged property
                                                                                              
          payment for remediation of damaged property
                                     -53,000 -282,000                                                          
          (recovery) provision for doubtful accounts
                             -2,000                                                                   
          non-cash interest related to contingent liabilities
                                     126,000 125,000 126,000  125,000 125,000 226,000 146,000 223,000 166,000 149,000                                                
          non-cash income related to earn-out and related lease incentive write-off
                                                                                                
          withheld vested restricted stock and performance-based stock units
                                                                                               
          right of use asset
                                    1,445,000                                                            
          lease liability
                                    1,445,000                                                            
          change in straight-line rent receivable and lease incentives due to collectibility
                                                                                                
          provision for doubtful accounts
                               1,000    83,000 11,000 106,000 -38,000 8,000  -96,000 -5,000 -38,000 212,000 43,000 118,000 84,000 156,000 31,000 429,000 3,000  39,000 11,000 27,000   15,000                                     
          withheld vested restricted stock and performance-based stock units to satisfy tax payments
                                                                                                
          adjustment for collectibility of rental income
                                                                                              
          proceeds from dissolution of unconsolidated joint ventures
                                 3,201,000                                                              
          provision for (recovery of) doubtful accounts
                                                                                                
          payment of working capital reserve
                                          -439,000 -431,000 -891,000 -1,135,000 -299,000                                                
          decrease in cash, cash equivalents and restricted cash
                                                                                                
          provision (recovery) for doubtful accounts
                                                                                                
          adjustment for collectibility
                                    1,926,000                                                            
          proceeds from payoff of joint venture agreements
                                    3,400,000                                                            
          non-cash income related to earn-out and related lease inducement write-off
                                                                                                
          lease incentives funding
                                       -637,000 -380,000                                                        
          operating activities
                                                                                                
          investing activities
                                                                                                
          financing activities
                                                                                                
          impairment on receivables
                                                                                               
          effect of earn-out and related lease inducement write-off
                                                                                                
          contingent liabilities related to real estate investments
                                                                                               
          amortization of lease incentive
                                           584,000 527,000 499,000 469,000 459,000 518,000                                                
          impairment on real estate
                                                                                                
          gain on sale of assets
                                             -1,780,000                                                 
          decrease in interest receivable
                                                 -1,152,000 -1,255,000 -962,000 -570,000 69,000 -4,000 2,000 5,000 1,000 49,000 -24,000 6,000 219,000 172,000 190,000 -159,000 192,000 174,000 -128,000 173,000 188,000 -161,000 204,000 179,000 -117,000 184,000  6,000 238,000                   
          principal payments on bonds payable
                                                      -635,000 -600,000                                    
          see note 4: supplemental cash flow information for further discussion.
                                                                                                
          advances under notes receivable
                                              -1,914,000 -321,000 -93,000 -90,000 -210,000 -362,000 -892,000 -599,000 -575,000   -285,000 -447,000 -63,000 -442,000                                    
          mortgage loan receivable applied against purchase price to acquire real estate
                                                  10,600,000                                            
          reclassification of pre-development loans
                                                  400,000                                              
          proceeds from common stock offering
                                                         -41,000 171,406,000 4,895,000    -36,000 -162,000 103,829,000                               
          proceeds from issuance of common stock
                                                14,637,000                                                
          payment of earn-out liabilities
                                                                                                
          distribution from unconsolidated joint ventures
                                                                                                
          amortization of lease inducement
                                                  428,000 383,000 352,000                                            
          non-cash interest related to earn-out liabilities
                                                  96,000 54,000 55,000     36,000 110,000 110,000 110,000 110,000 110,000 177,000                                 
          proceeds from sale of real estate investments
                                                     25,886,000   11,000,000   1,248,000          555,000 158,000 -7,000 54,042,000               
          advances under mortgage loans receivable
                                                  39,420,000 -41,489,000 -1,858,000  -3,842,000 -1,139,000 -2,568,000 -1,903,000 -3,000 -910,000                                     
          origination of real estate mortgages
                                                                                                
          investment in unconsolidated joint ventures
                                                  -20,143,000                                            
          land conveyance applied to a mortgage and construction loan receivable
                                                                                                
          investment in real estate mortgages
                                                   -9,500,000                                   -3,661,000       
          income from unconsolidated joint venture
                                                    -116,000                                            
          cash and cash equivalents, beginning of year
                                                    25,237,000                                            
          cash and cash equivalents, end of year
                                                    3,417,000                                            
          depreciation and amortization—continuing and discontinued operations
                                                         6,202,000                                       
          straight-line rental income—continuing and discontinued operations
                                                         -1,140,000                                       
          proceeds from redemption of marketable securities
                                                                                               
          principal payments on mortgage loan payable and bonds payable
                                                                                                
          redemption of non-controlling interests
                                                                                               
          adjustments to reconcile net income to net cash provided by operating activities:
                                                                                                
          investment in real estate properties under development
                                                      -7,842,000 -9,923,000 -6,157,000 -6,059,000 -5,358,000 -3,952,000                                     
          proceeds from common stock offerings
                                                                                                
          supplemental cash flow information:
                                                                                                
          loss on sale of assets
                                                                                                
          provision (recovery) for doubtful accounts—continuing and discontinued operations
                                                                                                
          depreciation and amortization — continuing and discontinued operations
                                                              5,167,000 4,974,000 4,987,000 4,521,000                               
          recovery from doubtful accounts
                                                                                                
          debt issue costs
                                                            -702,000                                    
          redemption of preferred stock
                                                                                       -126,305,000         
          depreciation and amortization – continuing and discontinued operations
                                                                                                
          straight-line rental income – continuing and discontinued operations
                                                                                                
          recovery from doubtful accounts – continuing and discontinued operations
                                                                                                
          straight-line rental income — continuing and discontinued operations
                                                                                                
          provision (recovery) for doubtful accounts — continuing and discontinued operations
                                                              1,000                                  
          investment in real estate properties and capital improvements
                                                                                       -3,461,000  11,000 -1,579,000 -86,000  -174,000 -438,000 -653,000 
          (recovery) provision for doubtful accounts — continuing and discontinued operations
                                                                                                
          conversion of preferred stock to common stock
                                                                     23,000 174,000 462,000 2,283,000 376,000 244,000 85,000  225,000 -593,000 1,524,000 537,000              
          conversion of mortgage loan to owned property
                                                                                                
          provisions for doubtful accounts
                                                                  217,000 194,000 1,061,000                            
          repurchase of common stock
                                                                                                
          repurchase of preferred stock
                                                                                                
          advance under notes receivable
                                                                                                
          proceeds from stock offering
                                                                   9,654,000                            
          principal payments on mortgage loans payable and bonds payable
                                                                                                
          gain on sale of real estate assets
                                                                                                
          preferred stock buyback
                                                                                                
          redemption of noncontrolling interests
                                                                                                
          distributions paid to noncontrolling interests
                                                                                                
          redemption of noncontrolling interest
                                                                                                
          distributions paid to noncontrolling interest
                                                                                                
          depreciation and amortization – continuing operations
                                                                        3,745,000 3,730,000 3,692,000 3,618,000 3,575,000 3,541,000  3,472,000 3,431,000 3,485,000               
          depreciation and amortization – discontinued operations
                                                                                                
          minority interest
                                                                        76,000 77,000 77,000 86,000 86,000 86,000 86,000 85,000 86,000 86,000               
          proceeds from redemption of marketable debt securities
                                                                           -164,000                     
          redemption of minority interests
                                                                                                
          distributions paid to minority interests
                                                                                                
          depreciation and amortization – discontinuing operations
                                                                                                
          gain on sale of real estate investments
                                                                                       -975,000      -819,000   
          net cash provided by operating activities
                                                                         15,286,000 13,768,000          19,315,000 12,675,000           
          net cash (used in) provided by investing activities
                                                                                                
          (decrease) increase in cash and cash equivalents
                                                                                                
          decrease (increase) in interest receivable
                                                                                                
          investment in marketable equity securities
                                                                                                
          net cash provided by investing activities
                                                                                    3,215,000            
          borrowings under the line of credit
                                                                               2,000,000 8,700,000 2,000,000 3,500,000 33,000,000  3,000,000       
          repayments of borrowings under the line of credit
                                                                                                
          mortgage principal payments on the senior mortgage participation
                                                                                       -204,000         
          property exchange
                                                                                                
          reclassification of previously issued restricted stock
                                                                                3,123,000               
          depreciation and amortization—continuing operations
                                                                                                
          depreciation and amortization—discontinued operations
                                                                                                
          (gain) loss on sale of real estate and other investments
                                                                                                
          realization of reserve on note receivable
                                                                                                
          realization of deferred gain on note receivable
                                                                                                
          non-cash impairment charge
                                                                                                
          decrease (increase) in prepaid, other assets and allowance
                                                                                                
          decrease in accrued interest
                                                                                       -71,000    -176,000    -108,000 
          increase in accrued expenses and other liabilities
                                                                                                
          conversion of mortgage loans to owned properties
                                                                                                
          payment of deferred lease cost
                                                                                                
          principal payments on mortgage loans receivable and remic certificates
                                                                                                
          conversion of remic certificates to mortgage loans
                                                                                                
          investment in marketable debt and equity securities
                                                                                                
          proceeds from the sale of marketable equity securities
                                                                                                
          investment in remic certificates
                                                                                       -3,898,000         
          proceeds from redemption of investment in debt securities
                                                                                                
          repayment of senior mortgage participation
                                                                                        -10,767,000 -222,000 -216,000 -212,000     
          principal payments on mortgage loans, bonds payable and capital leases
                                                                                                
          proceeds from common and preferred stock offerings
                                                                                                
          repayment of stockholder loans
                                                                                                
          preferred stock redemption
                                                                                                
          conversion of minority interests
                                                                                                
          income from investments in marketable debt and equity securities
                                                                               348,000                 
          other non-cash charges
                                                                                 33,000 391,000 518,000 1,345,000 816,000 698,000 719,000   1,244,000 977,000 1,222,000 975,000 1,184,000 1,094,000 
          (gain)/loss on sale of real estate investments
                                                                                                
          increase in accrued interest
                                                                                                
          conversion of mortgage loans into owned properties
                                                                                             1,500,000 2,332,000 
          principal payments received on mortgage loans receivable and remic certificates
                                                                               8,469,000 5,271,000 16,029,000 5,893,000 3,242,000 5,308,000            
          principal payments on mortgage loans payable, bonds and capital lease obligations
                                                                                                
          net proceeds from issuance of common stock
                                                                                                
          exchange of mortgage loans for owned properties
                                                                                              
          exchange of remic certificates for mortgage loans receivable
                                                                                               
          elimination of loans payable resulting from repurchase of remic certificates
                                                                                                
          restricted stock issued, net of cancellations
                                                                                                
          proceeds from sale of real estate investments and other assets
                                                                                  1,000   4,523,000 4,000 208,000  1,553,000 2,595,000 220,000  2,537,000 9,978,000 -458,000 
          redemption of investment in senior secured notes
                                                                                     12,281,000         
          net proceeds from issuance of preferred stock
                                                                                     61,121,000 -116,000 98,578,000         
          principal payments on mortgage loans payable and capital lease obligations
                                                                                       -5,498,000  -1,952,000 -6,969,000 -1,018,000  -8,838,000 -4,109,000 -949,000 
          distributions paid
                                                                                       -9,841,000 -8,388,000 -6,371,000 -7,245,000 -4,759,000 -5,572,000 -5,601,000 -5,605,000 -6,422,000 
          exchange of limited partnership units for common stock
                                                                                     727,000           
          transfer of remic certificates to mortgage loans receivable
                                                                                                
          refinance of notes receivable into a mortgage loan receivable
                                                                                                
          assumption of mortgage loans payable for acquisitions of real estate assets
                                                                                                
          increase (decrease) in accrued interest
                                                                                    1,000            
          increase (decrease) in cash and cash equivalents
                                                                                    8,504,000            
          impairment charge
                                                                                          1,260,000  925,000   
          investment in marketable debt securities
                                                                                                
          advances under line of credit to clc healthcare, inc.
                                                                                         -2,000 -500,000 -950,000  -88,000 -704,000 
          payments from clc healthcare, inc. on line of credit
                                                                                         1,200,000 946,000     
          repayments of bank borrowings under the line of credit
                                                                                       -21,000,000         
          repurchase of common and preferred stock
                                                                                        18,000 -1,368,000 -2,093,000     
          assumption of mortgage loans payable on acquisitions of real estate assets
                                                                                                
          principal payments on mortgage loans receivable
                                                                                      10,451,000 2,201,000 8,640,000 3,537,000 362,000 347,000 336,000 330,000 1,347,000 4,009,000 
          conversion of limited partnership units into common stock
                                                                                       2,575,000         
          gain on sale of real estate and other investments
                                                                                                
          write-off of debt issue costs related to early retirement of bank debt
                                                                                                
          adjustment to stockholder notes receivable
                                                                                                
          decrease in prepaid, other assets and allowance
                                                                                                
          acquisition of real estate properties and capital improvements
                                                                                                
          investment in debt securities
                                                                                               
          advances to clc healthcare, inc.
                                                                                                
          repayment of advances to clc healthcare, inc.
                                                                                                
          proceeds from issuance of senior mortgage participation
                                                                                                
          mortgage loan borrowings
                                                                                                
          principal payments on mortgage loans, notes payable and capital leases
                                                                                                
          redemption of convertible subordinated debentures
                                                                                            -2,408,000 
          repayments of bank borrowings under line of credit
                                                                                         -52,557,000    -31,610,000 -1,000,000 -7,000,000 
          net proceeds from preferred stock offering
                                                                                                
          increase in short term notes receivable related to the disposition of real estate assets
                                                                                                
          loss on sale of real estate investments
                                                                                               72,000 
          loss on the sale of other assets
                                                                                                
          proceeds from issuance of senior mortgage participation, net of repayments
                                                                                                
          payments on line of credit to clc healthcare, inc.
                                                                                              45,000 611,000 
          increase in short term notes receivable related to the disposition of real estate properties
                                                                                                
          assumption of mortgage loans payable related to acquisitions of real estate properties
                                                                                              1,357,000