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Supplemental Detail for Certain Components of Consolidated Balance Sheets - Schedule of Other Assets, Net (Details) - USD ($)
$ in Thousands
Jun. 30, 2024
Dec. 31, 2023
Jun. 30, 2023
Other assets, net      
Financing receivables, net $ 1,553,737 $ 1,570,943  
Right of use asset - financing leases 694,253 706,837  
Right of use asset - operating leases, net 641,873 594,712  
Loan receivable, net 594,048 205,339  
Value-added tax receivable 77,936 100,672  
Prepaid expenses 58,996 33,252  
Derivative assets and receivables - at fair value 52,195 21,170  
Restricted escrow deposits 18,806 6,247 $ 23,995
Corporate assets, net 14,226 12,948  
Interest receivable 11,572 6,139  
Impounds related to mortgages payable 11,485 53,005 $ 37,174
Credit facility origination costs, net 9,797 12,264  
Investment in sales type lease 6,098 6,056  
Non-refundable escrow deposits 0 200  
Other items 50,619 38,859  
Total other assets, net $ 3,795,641 $ 3,368,643  
Right-of-use asset, financing leases, balance sheet line item Total other assets, net Total other assets, net  
Right-of-use asset, operating leases, balance sheet line item Total other assets, net Total other assets, net