v3.26.1
Equity and Earnings per Common Share, Equity Incentive Plan (Details)
3 Months Ended 6 Months Ended
Jun. 15, 2026
$ / shares
shares
May 30, 2026
shares
May 07, 2026
$ / shares
shares
Apr. 20, 2026
$ / shares
shares
Apr. 06, 2026
Feb. 10, 2026
shares
May 30, 2025
shares
May 30, 2024
shares
Jun. 30, 2026
USD ($)
shares
Mar. 31, 2026
$ / shares
shares
Jun. 30, 2025
USD ($)
$ / shares
shares
Mar. 31, 2025
$ / shares
shares
Jun. 30, 2026
USD ($)
$ / shares
shares
Jun. 30, 2025
USD ($)
$ / shares
shares
Equity Incentive Plan Information [Abstract]                            
Number of Securities Remaining Available for Future Issuance under Equity Compensation Plans, Beginning Balance (in shares)                 2,312,335 2,336,749 2,434,072 2,434,072 2,336,749 2,434,072
Number of Securities Remaining Available for Future Issuance under Equity Compensation Plans, Number of securities redeemed (in shares)                     34,697      
Number of Securities Remaining Available for Future Issuance under Equity Compensation Plans, During the Period (in shares) (168,068) 0 (358,527) (350,380)           (24,414) (146,520) 0    
Number of Securities Remaining Available for Future Issuance under Equity Compensation Plans, Ending Balance (in shares)                 1,435,360 2,312,335 2,336,749 2,434,072 1,435,360 2,336,749
Number of Securities Remaining Available for Future Issuance under Equity Compensation Plans, number of securities forfeited (in shares)                     14,500      
Weighted Average Issuance Price (in dollars per share) | $ / shares $ 2.38   $ 2.58 $ 2.64           $ 2.56 $ 2.73 $ 0   $ 2.73
LTIP-OP Units [Member]                            
Equity Incentive Plan Information [Abstract]                            
Vesting period                         3 years  
LTIP-OP Units, Beginning Balance (in shares)                 (663,492) (663,492) (663,492) (663,492) (663,492) (663,492)
LTIP-OP Units, number of securities issued or to be issued upon exercise (in shares) 0 0 0 0     0     0 0 0    
LTIP-OP Units, Ending Balance (in shares)                 (663,492) (663,492) (663,492) (663,492) (663,492) (663,492)
LTIP-OP Units Forfeited or Redeemed, Beginning Balance (in shares) [1]                 57,689 57,689 8,492 8,492 57,689 8,492
LTIP-OP Units Forfeited or Redeemed, number of securities issued or to be issued upon exercise (in shares) [1] 0 0 0 0     0     0 0 0    
LTIP-OP Units Forfeited or Redeemed, Ending Balance (in shares) [1]                 57,689 57,689 57,689 8,492 57,689 57,689
LTIP-OP Units Forfeited, number of securities forfeited (in shares)                     14,500      
LTIP-OP Units Redeemed, Number of securities redeemed (in shares) [1]                     34,697      
LTIP-OP Units Converted, Beginning Balance (in shares)                 65,037 65,037 44,795 44,795 65,037 44,795
LTIP-OP Units Converted, number of securities issued or to be issued upon exercise (in shares) 0 0 0 0     0     0 0 0    
LTIP-OP Units Converted, Ending Balance (in shares)                 65,037 65,037 44,795 44,795 65,037 44,795
Share-based compensation expense recognized | $                 $ 347,000   $ 179,000   $ 543,000 $ 357,000
Unrecognized share-based compensation expense | $                 $ 2,500,000       $ 2,500,000  
LTIP-OP Units [Member] | Maximum [Member]                            
Equity Incentive Plan Information [Abstract]                            
Period of recognition of unrecognized share-based compensation expense                         3 years  
Common Stock [Member]                            
Equity Incentive Plan Information [Abstract]                            
Shares of Common Stock Withheld, number of securities issued or to be issued upon exercise (in shares) [2] 0 20,253 0 0     21,391     0 0 0    
Shares of Common Stock Issued, Beginning Balance (in shares)                 (510,475) (510,475) (283,672) (283,672) (510,475) (283,672)
Shares of Common Stock Issued, number of securities issued or to be issued upon exercise (in shares) (168,068) [3] (60,041) 0 0     (60,041)     0 (146,520) 0    
Shares of Common Stock Issued, Ending Balance (in shares)                 (738,584) (510,475) (490,233) (283,672) (738,584) (490,233)
Shares of Common Stock Forfeited, Beginning Balance (in shares) [1]                 3,155 3,155 3,155 3,155 3,155 3,155
Shares of Common Stock Forfeited, number of securities issued or to be issued upon exercise (in shares) [1] 0 0 0 0     0     0 0 0    
Shares of Common Stock Forfeited, Ending Balance (in shares) [1]                 3,155 3,155 3,155 3,155 3,155 3,155
Shares of Common Stock Withheld, Beginning Balance (in shares) [2]                 24,620 24,620 3,229 3,229 24,620 3,229
Shares of Common Stock Withheld, number of securities issued or to be issued upon exercise (in shares) [2] 0 20,253 0 0     21,391     0 0 0    
Shares of Common Stock Withheld, Ending Balance (in shares) [2]                 44,873 24,620 24,620 3,229 44,873 24,620
Restricted Stock Units (RSUs) [Member]                            
Equity Incentive Plan Information [Abstract]                            
Restricted Stock Units Settled, number of securities issued or to be issued upon exercise (in shares) 0 60,041 0 0     60,041     0 0 0    
Common stock granted (in shares)   60,041         60,041              
Restricted Stock Units Issued, Beginning Balance (in shares)                 206,356 (181,942) 181,942 (181,942) (181,942) (181,942)
Restricted Stock Units Issued, number of securities issued or to be issued upon exercise (in shares) 0 0 (358,527) [4] (350,380) [5]     0     (24,414) [6] 0 0    
Restricted Stock Units Issued, Ending Balance (in shares)                 (915,263) (206,356) (181,942) (181,942) (915,263) (181,942)
Restricted Stock Units Forfeited, Beginning Balance (in shares) [1]                 0 0 0 0 0 0
Restricted Stock Units Forfeited, number of securities issued or to be issued upon exercise (in shares) [1] 0 0 0 0           0 0 0    
Restricted Stock Units Forfeited, Ending Balance (in shares) [1]                 0 0 0 0 0 0
Restricted Stock Units Settled, Beginning Balance (in shares)                 60,041 60,041 0 0 60,041 0
Restricted Stock Units Settled, number of securities issued or to be issued upon exercise (in shares) 0 60,041 0 0     60,041     0 0 0    
Restricted Stock Units Settled, Ending Balance (in shares)                 120,082 60,041 60,041 0 120,082 60,041
Restricted Stock Units Withheld, Beginning Balance (in shares) [2]                 0 0 0 0 0 0
Restricted Stock Units Withheld, number of securities issued or to be issued upon exercise (in shares) [2] 0 0 0 0           0 0 0    
Restricted Stock Units Withheld, Ending Balance (in shares) [2]                 0 0 0 0 0 0
Absolute TSR Award [Member]                            
Equity Incentive Plan Information [Abstract]                            
Performance-based LTIP award, weighted-average grant-date fair value | $ / shares                         $ 2.07  
Relative TSR Award [Member]                            
Equity Incentive Plan Information [Abstract]                            
Performance-based LTIP award, weighted-average grant-date fair value | $ / shares                         $ 3.45  
2023 Plan [Member]                            
Equity Incentive Plan Information [Abstract]                            
Maximum aggregate number of common shares issuable (in shares)                 2,830,000       2,830,000  
Ratio of common stock issuable against LTIP-OP units                         1  
Weighted Average Issuance Price (in dollars per share) | $ / shares                     $ 2.95     $ 2.95
2023 Plan [Member] | Restricted Stock Units (RSUs) [Member]                            
Equity Incentive Plan Information [Abstract]                            
RSU granted (in shares) 168,068             181,942            
Number of right to receive common stock for each RSU (in shares)           1                
Awards granted to each director (in shares) 42,017                          
Vested and nonforfeitable period from grant date                         1 year  
Restricted Stock Units Issued, number of securities issued or to be issued upon exercise (in shares)           24,414                
2013 Plan [Member] | LTIP-OP Units [Member]                            
Equity Incentive Plan Information [Abstract]                            
Number of shares equivalent to unit awarded (in shares)                 1          
2013 Plan [Member] | Restricted Stock Units (RSUs) [Member]                            
Equity Incentive Plan Information [Abstract]                            
Number of right to receive common stock for each RSU (in shares)               1            
2026 Executive Plan [Member]                            
Equity Incentive Plan Information [Abstract]                            
Vesting period                         3 years  
Time-based LTIP award allocation percentage         0.50                  
Performance-based LTIP award allocation percentage         0.50                  
2026 Executive Plan [Member] | LTIP-OP Units [Member]                            
Equity Incentive Plan Information [Abstract]                            
Vesting period                         3 years  
[1] If any award or grant under the 2023 Plan (including LTIP-OP Units) expires, is forfeited or is terminated without having been exercised or is paid in cash without a requirement for the delivery of common stock, then any common stock covered by such lapsed, cancelled, expired, unexercised or cash-settled portion of such award or grant and any forfeited, lapsed, cancelled or expired LTIP-OP Units will be available for the grant or settlement of other awards under the 2023 Plan.
[2] Any shares of common stock tendered or withheld to satisfy the grant or exercise price or tax withholding obligation pursuant to any award reduces the number of shares of common stock available under the 2023 Plan and those shares will not be available for future grants or awards under the 2023 Plan.
[3] Subject to forfeiture in certain circumstances prior to June 15, 2027.
[4] Subject to satisfaction of defined market-based criteria and subject to forfeiture in certain circumstances prior to December 31, 2028.
[5] Subject to forfeiture in certain circumstances prior to April 21, 2029.
[6] Subject to forfeiture in certain circumstances prior to February 10, 2027.