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Indebtedness - Narrative (Details)
$ in Thousands
3 Months Ended 6 Months Ended
Jul. 01, 2025
USD ($)
Jan. 27, 2025
Feb. 10, 2023
USD ($)
Jun. 30, 2025
USD ($)
room
property
hotel
Jun. 30, 2025
USD ($)
room
property
extensionOption
hotel
Jun. 30, 2024
USD ($)
Aug. 05, 2025
USD ($)
Aug. 01, 2025
USD ($)
key
Mar. 31, 2025
room
Feb. 28, 2025
USD ($)
key
property
hotel
Dec. 31, 2024
Indebtedness                      
Borrowings under revolving credit facility         $ 50,000 $ 0          
Disposal Group, Disposed of By Sale, Not Discontinued Operations                      
Indebtedness                      
Number of units related to real estate property | room       772 772            
Revolving Credit Facility                      
Indebtedness                      
Covenant coverage ratio                   1.30 1.50
Debt service coverage ratio level                   1.50  
Debt instrument, collateral property, yield (as percent)                 10.00%    
Hotel                      
Indebtedness                      
Number of units related to real estate property | room       35,101 35,101            
Number of properties | hotel       200 200            
Hotel | Disposal Group, Disposed of By Sale, Not Discontinued Operations                      
Indebtedness                      
Number of units related to real estate property | room       258 258       514    
Hotel | Revolving Credit Facility | Collateral One                      
Indebtedness                      
Number of properties collateralized | hotel                   47  
Number of units related to real estate property | key                   7,981  
Hotel | Revolving Credit Facility | Collateral Two                      
Indebtedness                      
Number of properties collateralized | hotel                   36  
Number of units related to real estate property | key                   4,862  
Aggregate gross book value of real estate assets collateralized                   $ 650,093  
Hotel | Subsequent Event | Disposal Group, Disposed of By Sale, Not Discontinued Operations                      
Indebtedness                      
Number of units related to real estate property | key               234      
Net Lease                      
Indebtedness                      
Number of properties | property       742 742            
Annual minimum returns         $ 386,521            
Net Lease | Revolving Credit Facility | TravelCenters of America Inc.                      
Indebtedness                      
Number of properties collateralized | property                   35  
Revolving Credit Facility                      
Indebtedness                      
Unsecured debt, net       $ 100,000 100,000 $ 0          
Secured revolving credit facility       $ 650,000 $ 650,000            
Number of extension options | extensionOption         2            
Extension term (in months)         6 months            
Leverage ratio limit (as percent)       2.50% 2.50%            
Interest rate (as percent)       6.89% 6.89% 7.83%          
Weighted average interest rate (as percent)       6.91% 6.93%            
Available for borrowing       $ 550,000 $ 550,000            
Debt instrument, collateral properties | property       55 55            
Undepreciated carrying value       $ 900,148 $ 900,148            
Revolving Credit Facility | Subsequent Event                      
Indebtedness                      
Secured revolving credit facility               $ 650,000      
Borrowings under revolving credit facility $ 550,000                    
Revolving Credit Facility | Hotel                      
Indebtedness                      
Debt instrument, collateral properties | property       17 17            
Revolving Credit Facility | Net Lease                      
Indebtedness                      
Debt instrument, collateral properties | property       38 38            
Revolving Credit Facility | Minimum                      
Indebtedness                      
Debt instrument, basis spread on variable rate (as percent)         1.50%            
Facility fee         0.20%            
Revolving Credit Facility | Maximum                      
Indebtedness                      
Debt instrument, basis spread on variable rate (as percent)         3.00%            
Facility fee         0.30%            
Mortgages                      
Indebtedness                      
Principal amount     $ 610,200                
Debt instrument, collateral properties | property       314 314            
Redemption period (in months)     24 months                
Annual minimum returns         $ 66,464            
Aggregate undepreciated carrying value         $ 751,298            
Mortgages | Net Lease | Disposal Group, Disposed of By Sale, Not Discontinued Operations | Real Estate Dispositions                      
Indebtedness                      
Number of properties | property       1 1            
Variable Funding Notes                      
Indebtedness                      
Secured revolving credit facility       $ 45,000 $ 45,000            
Interest rate (as percent)       6.04% 6.04%            
Weighted average interest rate (as percent)       6.05% 6.05%            
Variable Funding Notes | Subsequent Event                      
Indebtedness                      
Secured revolving credit facility               $ 45,000      
Senior Unsecured Notes | Senior Notes                      
Indebtedness                      
Aggregate outstanding principal amount of senior unsecured notes       $ 4,075,000 $ 4,075,000            
Senior Secured Notes | Senior Notes                      
Indebtedness                      
Aggregate outstanding principal amount of senior unsecured notes       $ 1,000,000 $ 1,000,000            
Net Lease Mortgage Notes, due 2028 at 5.60%                      
Indebtedness                      
Interest rate, stated percentage (in percent)       5.60% 5.60%            
Net Lease Mortgage Notes, due 2028 at 5.60% | Mortgages                      
Indebtedness                      
Principal amount       $ 605,632 $ 605,632            
Interest rate, stated percentage (in percent)       5.60% 5.60%            
Senior Unsecured Notes, due 2026 at 5.25%                      
Indebtedness                      
Interest rate, stated percentage (in percent)       5.25% 5.25%            
Senior Unsecured Notes, due 2026 at 5.25% | Subsequent Event                      
Indebtedness                      
Aggregate outstanding principal amount of senior unsecured notes             $ 350,000        
Interest rate, stated percentage (in percent)             5.25%        
Coupon Rate 5.15% | Mortgages                      
Indebtedness                      
Principal amount       $ 301,441 $ 301,441            
Interest rate, stated percentage (in percent)       5.15% 5.15%            
Debt instrument, monthly redemption price (as percent)     0.50%                
Coupon Rate 5.55% | Mortgages                      
Indebtedness                      
Principal amount       $ 171,991 $ 171,991            
Interest rate, stated percentage (in percent)       5.55% 5.55%            
Debt instrument, monthly redemption price (as percent)     0.25%                
Variable Funding Notes | Variable Funding Notes                      
Indebtedness                      
Debt instrument, basis spread on variable rate (as percent)   1.75%                  
Extension term (in years)   1 year                  
Unused commitment fee   0.50%