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SENIOR NOTES PAYABLE AND OTHER DEBT - Indebtedness of Maturities (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2025 $ 550,987  
2026 2,110,232  
2027 1,634,616  
2028 1,570,363  
2029 1,701,145  
Thereafter 5,587,531  
Total maturities $ 13,154,874 $ 13,618,802
Minimum Percentage Of Total Encumbered Assets As A Percentage Of Unsecured Debt Required To Be Maintained 150.00%  
Principal Amount Due at Maturity    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2025 $ 526,712  
2026 2,063,997  
2027 1,587,911  
2028 1,529,616  
2029 1,668,280  
Thereafter 5,486,453  
Total maturities 12,862,969  
Unsecured Revolving Credit Facility and Commercial Paper Notes    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2025 0  
2026 0  
2027 0  
2028 1,374  
2029 0  
Thereafter 0  
Total maturities 1,374  
Scheduled Periodic Amortization    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2025 24,275  
2026 46,235  
2027 46,705  
2028 39,373  
2029 32,865  
Thereafter 101,078  
Total maturities $ 290,531