v3.25.4
CONTRACTUAL RECEIVABLES AND OTHER RECEIVABLES AND LEASE INDUCEMENTS (Cash Basis Operators and Straight Line Receivable Write Offs Narrative) (Details)
3 Months Ended 12 Months Ended
Mar. 31, 2023
USD ($)
Dec. 31, 2025
USD ($)
item
facility
Dec. 31, 2024
USD ($)
item
Dec. 31, 2023
USD ($)
item
facility
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Number of operators | item   89    
Number Of Operators Placed On A Cash Basis | item   3 4 3
Straight line rent receivable write off related to placing operators on cash basis   $ 15,500,000 $ 2,800,000 $ 0
Number of Facilities | facility   1,027    
48 Facilities | Scenario, Plan [Member]        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Expected amount to be received       $ 48,000,000
14 of 48 Facilities        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Termination fee incurred cost $ 15,500,000      
Facilities Transitioned From Operators [Member] | 48 Facilities        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Number Of Operators Placed On A Cash Basis       4
Facilities Transitioned To Operators [Member] | 48 Facilities        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Number of operators | item       5
Facilities Transitioned From 4 Cash Basis Operators To 5 Operators [Member]        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Number of Facilities | facility       48
Facilities Transitioned to Other Operators [Member]        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Straight Line Rent Receivable Wrote Off   $ 2,500,000 $ 1,400,000 $ 8,100,000
Operator Placed On Cash Basis [Member]        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Number of operators   20 21  
20 Operators Placed On Cash Basis [Member] | Revenue, Product and Service Benchmark [Member] | Customer Concentration Risk [Member]        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Concentration risk, percentage   19.00% 19.90% 21.40%
21 Operators Placed On Cash Basis | Revenue, Product and Service Benchmark [Member] | Customer Concentration Risk [Member]        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Concentration risk, percentage     20.50% 22.10%
1.2% Operator | Facilities Transitioned To Operators [Member] | 14 of 48 Facilities        
Contractual Receivables And Other Receivables And Lease Inducements [Line Items]        
Number of Facilities | facility       14