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SENIOR NOTES PAYABLE AND OTHER DEBT - Scheduled Maturities (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 $ 2,173,664  
2027 1,631,586  
2028 1,563,747  
2029 1,694,165  
2030 1,407,778  
Thereafter 4,632,687  
Total maturities 13,103,627 $ 13,618,802
Principal Amount Due at Maturity    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 2,127,508  
2027 1,584,927  
2028 1,524,342  
2029 1,661,224  
2030 1,385,892  
Thereafter 4,551,602  
Total maturities 12,835,495  
Unsecured Revolving Credit Facility and Commercial Paper Notes    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 0  
2027 0  
2028 0  
2029 0  
2030 0  
Thereafter 0  
Total maturities 0  
Scheduled Periodic Amortization    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 46,156  
2027 46,659  
2028 39,405  
2029 32,941  
2030 21,886  
Thereafter 81,085  
Total maturities $ 268,132