v3.26.1
Redeemable Noncontrolling Interests (Tables)
6 Months Ended
Jun. 30, 2026
Redeemable Noncontrolling Interests  
Summary of redeemable noncontrolling interests

Three Months Ended June 30, 

2026

2025

Consolidated

Consolidated

JBG

Real Estate

JBG

Real Estate

SMITH LP

  ​ ​

Venture

  ​ ​

Total

  ​ ​

SMITH LP

  ​ ​

Venture

  ​ ​

Total

(In thousands)

Balance, beginning of period

$

381,546

$

113,274

$

494,820

$

418,236

$

$

418,236

Redemptions

 

(3,209)

 

 

(3,209)

 

(1,135)

 

 

(1,135)

LTIP Units issued in lieu of cash compensation (1)

 

974

 

 

974

 

974

 

 

974

Net income (loss)

 

(13,323)

 

(58)

 

(13,381)

 

(3,962)

 

22

 

(3,940)

Other comprehensive income (loss)

 

944

 

 

944

 

(1,562)

 

 

(1,562)

Contributions (distributions), net

 

(2,909)

 

(684)

 

(3,593)

 

(2,898)

 

100,000

 

97,102

Share-based compensation expense

 

7,920

 

 

7,920

 

6,855

 

 

6,855

Adjustment to redemption value

 

7,674

 

563

 

8,237

 

12,695

 

13,978

 

26,673

Balance, end of period

$

379,617

$

113,095

$

492,712

$

429,203

$

114,000

$

543,203

Six Months Ended June 30, 

2026

2025

Consolidated

Consolidated

JBG

Real Estate

JBG

Real Estate

SMITH LP

  ​ ​

Venture

  ​ ​

Total

  ​ ​

SMITH LP

  ​ ​

Venture

  ​ ​

Total

(In thousands)

Balance, beginning of period

$

397,831

$

113,511

$

511,342

$

423,632

$

$

423,632

Redemptions

 

(11,034)

 

 

(11,034)

 

(10,854)

 

 

(10,854)

LTIP Units issued in lieu of cash compensation (1)

 

4,250

 

 

4,250

 

3,048

 

 

3,048

Net income (loss)

 

(17,600)

 

(131)

 

(17,731)

 

(11,940)

 

22

 

(11,918)

Other comprehensive income (loss)

 

2,062

 

 

2,062

 

(3,446)

 

 

(3,446)

Contributions (distributions), net

 

(2,909)

 

(1,414)

 

(4,323)

 

(2,898)

 

100,000

 

97,102

Share-based compensation expense

 

14,829

 

 

14,829

 

13,015

 

 

13,015

Adjustment to redemption value

 

(7,812)

 

1,129

 

(6,683)

 

18,646

 

13,978

 

32,624

Balance, end of period

$

379,617

$

113,095

$

492,712

$

429,203

$

114,000

$

543,203

(1)See Note 11 for additional information.