v3.25.4
Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Credit Facilities The following table summarizes certain details related to our master repurchase agreements as of the dates presented (in millions, except interest rates):
Outstanding Borrowings
at December 31,
Weighted Average Interest Rate at December 31,
LenderMaturity Date
Maximum Borrowing Capacity(1)
2025202420252024
JPMorgan Chase Bank, N.A.(2)
April 28, 2026$200 $126 $72 5.41 %6.14 %
Bank of Montreal(3)
February 26, 2026150 88 — 5.32 %— %
UBS AG(4)
September 4, 2026150 85 73 5.45 %6.07 %
Bank of Nova Scotia(5)
June 8, 2026100 65 — 5.23 %— %
Total$600 $364 $145 
Schedule of Convertible Senior Notes The following table summarizes interest expense related to the Notes for the periods presented (in millions):
Year Ended December 31, 2024Year Ended December 31, 2023
Contractual Coupon InterestAmortization of Debt Issuance CostsInterest ExpenseContractual Coupon InterestAmortization of Debt Issuance CostsInterest Expense
2026 Notes$$$$$$
2025 Notes12 14 16 18 
2024 Notes
Total$22 $$26 $28 $$33