v3.26.1
SENIOR NOTES PAYABLE AND OTHER DEBT - Summary of Senior Notes Payables and Other Debt (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Jan. 31, 2026
Dec. 31, 2025
Feb. 29, 2024
Jun. 30, 2023
Debt instruments          
Commercial paper notes $ 265,000   $ 0    
Deferred financing costs, net (78,069)   (81,529)    
Unamortized fair value adjustment 13,487   6,422    
Unamortized discounts (15,739)   (17,504)    
Senior notes payable and other debt 12,687,789   13,011,016    
Mortgage loans and other 12,768,110   13,103,627    
Unsecured revolving credit facility | Revolving Credit Facility          
Debt instruments          
Fair value of amount outstanding 0   0    
Unsecured revolving credit facility | Revolving Credit Facility | Borrowings Originally Denominated in CAD          
Debt instruments          
Mortgage loans and other 0   0    
Unsecured revolving credit facility | Revolving Credit Facility | Borrowings Originally Denominated in GBP          
Debt instruments          
Mortgage loans and other $ 0   0    
4.125% Senior Notes due 2026          
Debt instruments          
Interest rate 4.125% 4.125%      
Senior notes $ 0   500,000    
3.75% Exchangeable Senior Notes due 2026          
Debt instruments          
Interest rate 3.75%        
Senior notes $ 0   862,500   $ 862,500
3.25% Senior Notes due 2026          
Debt instruments          
Interest rate 3.25%        
Senior notes $ 450,000   450,000    
Unsecured term loan due February 2027          
Debt instruments          
Unsecured term loan 0   200,000    
Unsecured term loan due January 2031          
Debt instruments          
Unsecured term loan $ 1,250,000   500,000    
2.45% Senior Notes, Series G Due 2027          
Debt instruments          
Interest rate 2.45%        
Senior notes $ 334,625   346,109    
3.85% Senior Notes due 2027          
Debt instruments          
Interest rate 3.85%        
Senior notes $ 400,000   400,000    
4.00% Senior Notes due 2028          
Debt instruments          
Interest rate 4.00%        
Senior notes $ 650,000   650,000    
5.398% Senior Notes due 2028          
Debt instruments          
Interest rate 5.398%        
Senior notes $ 422,684   437,190    
4.40% Senior Notes due 2029          
Debt instruments          
Interest rate 4.40%        
Senior notes $ 750,000   750,000    
5.10% Senior Notes, Series J due 2029          
Debt instruments          
Interest rate       5.10%  
Senior notes $ 457,908   473,623    
3.00% Senior Notes due 2030          
Debt instruments          
Interest rate 3.00%        
Senior notes $ 650,000   650,000    
4.75% Senior Notes due 2030          
Debt instruments          
Interest rate 4.75%        
Senior notes $ 500,000   500,000    
2.50% Senior Notes due 2031          
Debt instruments          
Interest rate 2.50%        
Senior notes $ 500,000   500,000    
3.30% Senior Notes, Series H Due 2031          
Debt instruments          
Interest rate 3.30%        
Senior notes $ 211,342   218,595    
5.63% Senior Notes due 2034          
Debt instruments          
Interest rate 5.625%        
Senior notes $ 500,000   500,000    
5.00% Senior Notes due 2035          
Debt instruments          
Interest rate 5.00%        
Senior notes $ 550,000   550,000    
5.00% Senior Notes due 2036          
Debt instruments          
Interest rate 5.00%        
Senior notes $ 500,000   500,000    
6.90% Senior Notes due 2037          
Debt instruments          
Interest rate 6.90%        
Senior notes $ 52,400   52,400    
6.59% Senior Notes due 2038          
Debt instruments          
Interest rate 6.59%        
Senior notes $ 21,413   21,413    
5.70% Senior Notes due 2043          
Debt instruments          
Interest rate 5.70%        
Senior notes $ 300,000   300,000    
4.375% Senior Notes due 2045          
Debt instruments          
Interest rate 4.375%        
Senior notes $ 300,000   300,000    
4.875% Senior Notes due 2049          
Debt instruments          
Interest rate 4.875%        
Senior notes $ 300,000   300,000    
Mortgage loans and other          
Debt instruments          
Mortgage loans and other $ 2,902,738   2,641,797    
5.10% Senior Notes due 2032          
Debt instruments          
Interest rate 5.10%        
Senior notes $ 500,000   $ 500,000