v3.26.1
SENIOR NOTES PAYABLE AND OTHER DEBT - Indebtedness of Maturities (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 $ 731,082  
2027 917,841  
2028 1,538,305  
2029 2,206,372  
2030 1,400,708  
Thereafter 5,973,802  
Total maturities 12,768,110 $ 13,103,627
Principal Amount Due at Maturity    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 707,273  
2027 871,198  
2028 1,233,693  
2029 2,172,985  
2030 1,378,029  
Thereafter 5,893,179  
Total maturities 12,256,357  
Unsecured Revolving Credit Facility and Commercial Paper Notes (1)    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 0  
2027 0  
2028 265,000  
2029 0  
2030 0  
Thereafter 0  
Total maturities 265,000  
Scheduled Periodic Amortization    
Scheduled maturities of borrowing arrangements and other provisions excluding capital lease obligations    
2026 23,809  
2027 46,643  
2028 39,612  
2029 33,387  
2030 22,679  
Thereafter 80,623  
Total maturities $ 246,753