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Financial Instruments: Derivatives and Hedging (Tables)
12 Months Ended
Dec. 31, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Notional and Fair Value of Derivative Financial Instruments and Foreign Currency Hedges
The following table summarizes the notional value at inception and fair value of our consolidated derivative financial instruments as of December 31, 2025 based on Level 2 information. The notional value is an indication of the extent of our involvement in these instruments at that time, but does not represent exposure to credit, interest rate or market risks (dollars in thousands).
Notional
Value
Strike
Rate
Effective
Date
Expiration
Date
Balance Sheet LocationFair
Value
Interest Rate Cap72,314 4.000 %July 2025June 2026Other Liabilities$(1)
Interest Rate Cap190,148 3.500 %November 2025November 2026 Other Assets 193 
Interest Rate Swap150,000 2.621 %December 2021January 2026 Other Assets
Interest Rate Swap200,000 2.662 %December 2021January 2026 Other Assets
Interest Rate Swap300,000 2.866 %July 2023May 2027 Other Assets 1,777 
Interest Rate Swap100,000 2.903 %February 2023February 2027 Other Assets 494 
Interest Rate Swap100,000 2.733 %February 2023February 2027 Other Assets 677 
Interest Rate Swap50,000 2.463 %February 2023February 2027 Other Assets 484 
Interest Rate Swap200,000 2.591 %February 2023February 2027 Other Assets 1,660 
Interest Rate Swap100,000 3.756 %January 2023January 2028 Other Liabilities (953)
Interest Rate Swap370,000 3.888 %November 2022June 2027 Other Liabilities (3,076)
Interest Rate Swap150,000 3.524 %January 2024May 2027 Other Liabilities (426)
Interest Rate Swap300,000 4.487 %November 2024November 2027 Other Liabilities (6,521)
Interest Rate Swap68,678 4.466 %August 2024June 2027 Other Liabilities (1,167)
Interest Rate Swap204,550 3.915 %February 2025May 2028 Other Liabilities (2,866)
Interest Rate Swap125,000 3.667 %August 2024December 2026 Other Liabilities (346)
Interest Rate Swap125,000 3.670 %August 2024December 2026 Other Liabilities (353)
Interest Rate Swap80,000 4.174 %February 2025February 2028 Other Liabilities (1,429)
Interest Rate Swap357,500 2.982 %June 2027June 2028 Other Assets 887 
Interest Rate Swap177,000 1.555 %December 2022February 2026 Other Assets 486 
Interest Rate Swap177,000 3.331 %February 2026February 2029 Other Liabilities (222)
Interest Rate Lock240,000 — %November 2025January 2026 Other Assets 1,218 
Interest Rate Lock120,000 — %December 2025January 2026 Other Assets 112 
$(9,360)
The following table summarizes the notional value at inception and fair value of our joint ventures' derivative financial instruments as of December 31, 2025 based on Level 2 information. The notional value is an indication of the extent of our involvement in these instruments at that time, but does not represent exposure to credit, interest rate or market risks (dollars in thousands).
Notional ValueStrike RateEffective DateExpiration DateClassificationFair Value
Interest Rate Cap$703,686 4.000 %November 2025January 2026 Liability $— 
Interest Rate Cap289,257 4.000 %July 2025June 2026 Asset
Interest Rate Swap268,750 4.039 %July 2024September 2028 Liability (5,276)
Interest Rate Swap268,750 4.058 %July 2024September 2028 Liability (5,408)
Interest Rate Swap537,500 4.065 %July 2024September 2028 Liability (10,962)
Interest Rate Swap250,000 3.608 %April 2023February 2026 Asset 27 
Interest Rate Swap250,000 3.608 %April 2023February 2026 Asset 27 
$(21,587)
Schedule of Effect of Derivative Financial Instruments on Consolidated Statements of Income
The following table presents the effect of our derivative financial instruments and our share of our joint ventures' derivative financial instruments that are designated and qualify as hedging instruments on the consolidated statements of operations for the years ended December 31, 2025, 2024, and 2023, respectively (in thousands):
 Amount of Gain (Loss)
Recognized in
Other Comprehensive Income (Loss)
Location of Gain (Loss) Reclassified from Accumulated Other Comprehensive Income into Income Amount of Gain Reclassified from
Accumulated Other Comprehensive Income into Income
Year Ended December 31,Year Ended December 31,
Derivative202520242023202520242023
Interest Rate Swaps/Caps$(10,634)$41,802 $18,484 Interest expense$23,324 $37,398 $42,270 
Share of unconsolidated joint ventures' derivative instruments(8,001)6,870 7,399 Equity in net loss from unconsolidated joint ventures2,487 10,965 16,050 
$(18,635)$48,672 $25,883 $25,811 $48,363 $58,320