v3.26.1
SCHEDULE OF PRINCIPAL PAYMENTS OF MORTGAGE NOTES PAYABLE (Details) - USD ($)
Jun. 30, 2026
Dec. 31, 2025
Short-Term Debt [Line Items]    
2026 $ 19,276,998 [1] $ 29,973,191
2027 2,622,236 1,715,086
2028 7,234,928 8,624,623
2029 28,820,707 29,367,490
2030 11,342,553 11,656,692
Thereafter 11,560,628 11,584,601
Total 80,858,050 92,921,683
Presidio Property Trust Inc Notes Payable [Member]    
Short-Term Debt [Line Items]    
2026 16,571,973 [1] 25,504,041
2027 463,715 463,715
2028 454,843 454,843
2029 23,498,247 23,497,197
2030 5,812,731 5,812,792
Thereafter 11,560,628 11,584,601
Total 58,362,137 67,317,189
Model Home Properies Notes Payable [Member]    
Short-Term Debt [Line Items]    
2026 2,705,025 [1] 4,469,150
2027 2,158,521 1,251,371
2028 6,780,085 8,169,780
2029 5,322,460 5,870,293
2030 5,529,822 5,843,900
Thereafter
Total $ 22,495,913 $ 25,604,494
[1] The Shea Center II non-recourse loan totaling $16,353,296 was due in January 2026 and is included in the 2026 total for Commercial Properties Notes Payable listed above.