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FAIR VALUES OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2025
Fair Value Disclosures [Abstract]  
Carrying Amounts and Fair Values of Financial Instruments
The table below summarizes the carrying amounts and fair values of our financial instruments either recorded or disclosed on a recurring basis (dollars in thousands):

 As of June 30, 2025As of December 31, 2024
 Carrying AmountFair ValueCarrying AmountFair Value
Assets:    
Cash and cash equivalents (1)
$614,200 $614,200 $897,850 $897,850 
Escrow deposits and restricted cash (1)
62,557 62,557 59,383 59,383 
Secured loans receivable and investments, net (3)(4)
183,652 184,534 144,872 146,229 
Non-mortgage loans receivable, net (3)(4)(5)
20,915 20,528 28,129 27,640 
Derivative instruments (3)(4)(5)
22,286 22,286 53,100 53,100 
Liabilities:
Senior notes payable and other debt, gross (3)(4)
$13,154,874 $13,135,881 $13,618,802 $13,411,066 
Derivative instruments (3)(6)
7,365 7,365 5,887 5,887 
Temporary Equity:
Redeemable OP Units (2)
$213,288 $213,288 $200,420 $200,420 
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(1)The carrying amount approximates fair value due to the short maturity of these instruments.
(2)Level 1 within fair value hierarchy.
(3)Level 2 within fair value hierarchy.
(4)Level 3 within fair value hierarchy.
(5)Included in Other assets on our Consolidated Balance Sheets.
(6)Included in Accounts payable and other liabilities on our Consolidated Balance Sheets.