v3.26.1
Debt of the Operating Partnership - Schedule of Debt Maturities And Principal Payments (Details) - Digital Realty Trust, L.P.
$ in Thousands, € in Millions
1 Months Ended 6 Months Ended
Jul. 31, 2026
Jun. 30, 2026
USD ($)
Option
Jun. 30, 2026
EUR (€)
Dec. 31, 2025
USD ($)
Debt Instrument        
2026   $ 825,169    
2027   2,164,697    
2028   2,529,915    
2029   3,601,074    
2030   1,667,285    
Thereafter   7,979,464    
Subtotal   18,767,604   $ 18,556,770
Unamortized net discounts   (41,661)    
Unamortized deferred financing costs   (90,594)    
Total   18,635,349    
Global Revolving Credit Facilities        
Debt Instrument        
2029   726,207    
Subtotal   726,207   918,540
Unamortized deferred financing costs   (16,451)    
Total   $ 709,756    
Number of extension option | Option   2    
Maturity extension option term   6 months    
Percentage of extension fee   0.0625% 0.0625%  
Unsecured Term Loans        
Debt Instrument        
2026   $ 428,325    
Subtotal   428,325   440,475
Unamortized deferred financing costs   (644)    
Total   427,681    
Unsecured Senior Note        
Debt Instrument        
2026   340,176    
2027   1,185,550    
2028   2,121,100    
2029   2,848,161    
2030   1,586,060    
Thereafter   7,938,290    
Subtotal   16,019,337   16,321,227
Unamortized net discounts   (41,661)    
Unamortized deferred financing costs   (70,882)   $ (80,470)
Total   15,906,794    
Secured and Other Debt        
Debt Instrument        
2026   56,668    
2027   979,147    
2028   408,815    
2029   26,706    
2030   81,225    
Thereafter   41,174    
Subtotal   1,593,735    
Unamortized deferred financing costs   (2,617)    
Total   $ 1,591,118    
Secured and Other Debt | Subsequent Event        
Debt Instrument        
Maturity extension option term 1 year      
Euro term loan        
Debt Instrument        
Aggregate principal amount | €     € 375.0  
Number of extension option | Option   1    
Maturity extension option term   1 year    
Percentage of extension fee   0.125% 0.125%