v3.25.2
Notes Payable (Scheduled Repayments On Outstanding Debt) (Details)
$ in Millions
Jun. 30, 2025
USD ($)
Remainder of 2025 $ 513.8
2026 566.9
2027 172.5
2028 529.9
2029 598.2
Thereafter 1,444.7
Total notes payable $ 3,826.0 [1],[2]
Weighted Average Interest Rate 4.10% [1],[3]
Maturities due in 2025  
Weighted Average Interest Rate 4.60%
Maturities due in 2026  
Weighted Average Interest Rate 5.60%
Maturities due in 2027  
Weighted Average Interest Rate 3.90%
Maturities due in 2028  
Weighted Average Interest Rate 3.80%
Maturities due in 2029  
Weighted Average Interest Rate 3.80%
Maturities Due Thereafter  
Weighted Average Interest Rate 3.60%
[1] Includes all available extension options.
[2] Includes amortization of debt discounts, debt issuance costs, and fair market value adjustments.
[3] Includes the effects of the applicable settled derivatives.