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DEBT AND SECURED FINANCINGS - Summary of Borrowings Reflects Contractual Debt Maturities (Details)
$ in Thousands
12 Months Ended
Dec. 31, 2025
USD ($)
extension_option
Dec. 31, 2024
USD ($)
DEBT    
2026 $ 1,167,080  
2027 1,855,650  
2028 600,000  
2029 849,140  
2030 0  
Thereafter 279,630  
Total principal payments 4,751,500 $ 4,212,442
Line of credit    
DEBT    
Total principal payments $ 388,000 $ 573,000
Term of extension option 1 year  
Term Loan due March 2028    
DEBT    
Term of extension option 1 year  
Unused borrowing capacity amount $ 600,000  
Number of extension options | extension_option 2  
Fixed Rate Secured Mortgage Note Maturity July 2025    
DEBT    
Total principal payments $ 367,800  
Face amount $ 367,800  
Variable Rate Secured Mortgage Note Maturity January 2026    
DEBT    
Term of extension option 1 year  
Variable Rate Secured Mortgage Note Maturity July 2026    
DEBT    
Term of extension option 1 year  
Face amount $ 590,000  
Mortgage Note Maturing in April 2027    
DEBT    
Term of extension option 1 year  
Number of extension options | extension_option 3  
Face amount $ 563,900  
Fixed Rate Secured Mortgage Note Maturity May 2027    
DEBT    
Term of extension option 1 year  
Number of extension options | extension_option 2  
Face amount $ 222,300  
Line of credit    
DEBT    
2026 0  
2027 0  
2028 0  
2029 388,000  
2030 0  
Thereafter 0  
Total principal payments 388,000  
Term loans    
DEBT    
2026 0  
2027 550,000  
2028 600,000  
2029 0  
2030 0  
Thereafter 0  
Total principal payments 1,150,000  
Mortgage notes    
DEBT    
2026 1,167,080  
2027 1,305,650  
2028 0  
2029 461,140  
2030 0  
Thereafter 279,630  
Total principal payments $ 3,213,500