v3.26.1
Equity and Noncontrolling Interests - Summary of Properties Acquired Through Operating Partnership by Issuing OP Units (Details)
$ in Thousands
6 Months Ended
Jun. 30, 2026
USD ($)
Property
shares
March 20, 2026  
Asset Acquisition [Line Items]  
Date Mar. 20, 2026
Properties Acquired | Property 16
Relative fair value for properties acquired | $ $ 68,364
March 20, 2026 | OP Units  
Asset Acquisition [Line Items]  
OP Units issued for properties acquired | shares 1,150,957
OP Units issued for cash | shares 34,404
Consideration received for OP Units issued for cash | $ $ 949
March 26, 2026  
Asset Acquisition [Line Items]  
Date Mar. 26, 2026
Properties Acquired | Property 23
Relative fair value for properties acquired | $ $ 90,886
March 26, 2026 | OP Units  
Asset Acquisition [Line Items]  
OP Units issued for properties acquired | shares 1,519,114
OP Units issued for cash | shares 39,517
Consideration received for OP Units issued for cash | $ $ 1,081
June 11, 2026  
Asset Acquisition [Line Items]  
Date Jun. 11, 2026
Properties Acquired | Property 12
Relative fair value for properties acquired | $ $ 55,740
June 11, 2026 | OP Units  
Asset Acquisition [Line Items]  
OP Units issued for properties acquired | shares 1,379,145
OP Units issued for cash | shares 29,484
Consideration received for OP Units issued for cash | $ $ 813
June 25, 2026  
Asset Acquisition [Line Items]  
Date Jun. 25, 2026
Properties Acquired | Property 28
Relative fair value for properties acquired | $ $ 118,217
June 25, 2026 | OP Units  
Asset Acquisition [Line Items]  
OP Units issued for properties acquired | shares 1,923,384
OP Units issued for cash | shares 165,086
Consideration received for OP Units issued for cash | $ $ 4,553