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SUPPLEMENTAL CASH FLOW INFORMATION (Supplemental Cash Flow Information) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Supplemental disclosure of cash activities:      
Interest paid related to consolidated indebtedness, net of capitalized interest $ 212,460 $ 167,668 $ 118,575
Interest paid related to DST Program 37,635 64,979 62,507
Interest paid related to secured financings 5,167 4,661 1,126
Supplemental disclosure of non-cash investing and financing activities:      
Distributions reinvested in common stock 88,353 88,108 85,224
Increase in DST Program Loans receivable through sale of DST Interests 17,180 11,453 52,542
Issuances of OP Units for DST Interests 487,810 786,497 0
Redeemable noncontrolling interests issued as settlement of performance participation allocation 0 0 62,667
Increase (decrease) in distribution fees payable to affiliates 32,377 45,571 (27,628)
Decrease in accrued capital expenditures (3,820) (25,474) (33,214)
Non-cash selling commissions and dealer manager fees $ 1,808 $ 1,176 $ 4,449