Accrued and other liabilities consisted of the following (in thousands): | | | | | | | | | As of | | | March 31, 2026 | | December 31, 2025 | Accrued Property Taxes | | $ | 3,977 | | $ | 1,236 | Reserve for Tenant Improvements | | | 1,478 | | | 1,094 | Tenant Security Deposits | | | 3,276 | | | 3,233 | Accrued Construction Costs | | | 5,899 | | | 6,926 | Accrued Interest | | | 1,202 | | | 690 | Cash Flow Hedge - Interest Rate Swaps | | | 1,820 | | | 3,404 | Operating Leases - Liability | | | 201 | | | 229 | Construction and Other Reserves from Commercial Loans and Investments | | | 1,611 | | | 3,031 | Other | | | 3,922 | | | 8,342 | Total Accrued and Other Liabilities | | $ | 23,386 | | $ | 28,185 |
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