| OTHER ASSETS The components of other assets are summarized as follows: | | | | | | | | | | | | | March 31, 2026 | | December 31, 2025 | | Goodwill | $ | 170,811 | | | $ | 170,811 | | | Receivables, net | 115,380 | | | 142,120 | | | Prepaid expenses and deposits | 91,480 | | | 102,656 | | | Equipment and fixtures, net | 61,950 | | | 65,154 | | | Deferred line of credit financing costs, net | 14,490 | | | 15,335 | | | Other intangible assets, net | 6,635 | | | 11,593 | | | | | | | Restricted cash | 4,419 | | | 4,260 | | | Fair value of interest rate swaps | 2,712 | | | 3,362 | | | $ | 467,877 | | | $ | 515,291 | |
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