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Corporate Indebtedness - Additional Information (Details)
1 Months Ended 3 Months Ended
Mar. 18, 2026
USD ($)
extension
Jun. 30, 2005
USD ($)
Mar. 31, 2026
USD ($)
quarter
Dec. 31, 2025
USD ($)
Corporate Indebtedness        
Revolving credit facility, net     $ 813,953,000 $ 637,796,000
Term Loan A, Maturity May 2027 | Term Loan        
Corporate Indebtedness        
Maximum facility capacity $ 300,000,000.0      
Interest rate added to base rate (as a percent)     1.70%  
Term Loan A, Maturity May 2027 | Term Loan | Minimum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     0.90%  
Term Loan A, Maturity May 2027 | Term Loan | Maximum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     1.70%  
Term Loan B, Maturity May 2026 | Term Loan        
Corporate Indebtedness        
Maximum facility capacity $ 100,000,000.0      
Number of extensions | extension 1      
Term of extension 6 months      
Interest rate added to base rate (as a percent)     1.80%  
Term Loan B, Maturity May 2026 | Term Loan | Minimum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     1.00%  
Term Loan B, Maturity May 2026 | Term Loan | Maximum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     1.80%  
Term Loan C, Maturity June 2031 | Term Loan        
Corporate Indebtedness        
Maximum facility capacity $ 750,000,000.0      
Interest rate added to base rate (as a percent)     1.45%  
Variable rate increase (as a percent)     0.03%  
Term Loan C, Maturity June 2031 | Term Loan | Minimum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     0.95%  
Term Loan C, Maturity June 2031 | Term Loan | Maximum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     2.20%  
Revolving Credit Facility        
Corporate Indebtedness        
Facility fee (as a percent)     0.30%  
Revolving Credit Facility | Minimum        
Corporate Indebtedness        
Facility fee (as a percent)     0.20%  
Revolving Credit Facility | Maximum        
Corporate Indebtedness        
Facility fee (as a percent)     0.45%  
Term Loan        
Corporate Indebtedness        
Long-term debt, carrying value     $ 1,150,000,000  
Term Loan | Line of Credit        
Corporate Indebtedness        
Long-term debt, carrying value     1,100,000,000 1,100,000,000
Credit Facility 2026        
Corporate Indebtedness        
Ability to borrow under line of credit facility     418,000,000.0  
Credit Facility 2026 | Line of Credit        
Corporate Indebtedness        
Long-term debt, carrying value     $ 814,000,000.0 $ 637,800,000
Trust Preferred Securities        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     0.26%  
Proceeds from issuance of debt   $ 100,000,000.0    
Interest payment deferment, number of consecutive quarters | quarter     8  
Revolving Credit Facility        
Corporate Indebtedness        
Letters of credit     $ 7,000,000.0  
Revolving credit facility, net     $ 825,000,000.0  
Revolving Credit Facility | Revolving Credit Facility, Maturity June 2030 | Line of Credit        
Corporate Indebtedness        
Maximum facility capacity $ 1,250,000,000      
Number of extensions | extension 2      
Term of extension 6 months      
Revolving Credit Facility | Revolving Credit Facility, Maturity June 2030 | Line of Credit | Minimum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     0.85%  
Revolving Credit Facility | Revolving Credit Facility, Maturity June 2030 | Line of Credit | Maximum        
Corporate Indebtedness        
Interest rate added to base rate (as a percent)     1.85%  
Revolving Credit Facility | Revolving Credit Facility, Maturity May 2026 | Line of Credit        
Corporate Indebtedness        
Maximum borrowing capacity, optional expansion $ 4,500,000,000      
Interest rate added to base rate (as a percent)     1.25%