v3.26.1
UNSECURED SENIOR NOTES (Tables)
6 Months Ended
Jun. 30, 2026
Senior Notes  
UNSECURED SENIOR NOTES  
Summary of debt

  ​ ​ ​

June 30,

December 31,

  ​ ​ ​

Effective

Issuance

Maturity

Unsecured Senior Notes

  ​ ​ ​

2026

  ​ ​ ​

2025

  ​ ​ ​

Interest Rate

Date

Date

(in thousands)

$300M 3.125% Guaranteed Notes due 2026

$

300,000

$

300,000

3.18

%  

Aug-16

Sep-26

$550M 2.250% Guaranteed Notes due 2028

550,000

550,000

2.33

%  

Nov-21

Dec-28

$350M 4.375% Guaranteed Notes due 2029

350,000

350,000

4.46

%  

Jan-19

Feb-29

$350M 3.000% Guaranteed Notes due 2030

350,000

350,000

3.04

%  

Oct-19

Feb-30

$450M 2.000% Guaranteed Notes due 2031

450,000

450,000

2.10

%  

Oct-20

Feb-31

$500M 2.500% Guaranteed Notes due 2032

500,000

500,000

2.59

%  

Nov-21

Feb-32

$450M 5.125% Guaranteed Notes due 2035

450,000

450,000

5.30

%  

Aug-25

Nov-35

Principal balance outstanding

2,950,000

2,950,000

Less: Discount on issuance of unsecured senior notes, net

(11,540)

(12,669)

Less: Loan procurement costs, net

(10,927)

(12,228)

Total unsecured senior notes, net

$

2,927,533

$

2,925,103