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Fair Value Measurements (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Summary of financial instruments    
Senior unsecured notes $ 6,785,697 $ 6,772,722
Mortgage debt 104,213 349,209
Carrying Value    
Summary of financial instruments    
Loans receivable, net 261,398 606,020
Interest rate swap assets 14,085 5,626
Bank line of credit and commercial paper 1,495,994 1,078,850
Term loans 1,646,282 1,647,113
Senior unsecured notes 6,785,697 6,772,722
Mortgage debt 104,213 349,209
Interest rate swap liabilities 0 9,635
Fair Value    
Summary of financial instruments    
Loans receivable, net 270,460 620,575
Interest rate swap assets 14,085 5,626
Bank line of credit and commercial paper 1,495,994 1,078,850
Term loans 1,646,282 1,647,113
Senior unsecured notes 6,738,530 6,813,448
Mortgage debt 103,707 347,291
Interest rate swap liabilities $ 0 $ 9,635