v3.26.1
Notes Payable & Repurchase Agreement - Summary of Repurchase Agreement (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2026
Dec. 31, 2025
Repurchase Agreement Counterparty [Line Items]    
Aggregate Principal Committed $ 350,000 $ 350,000
Outstanding Principal 146,549 171,438
Unused Portion 203,451 178,562
Carrying Value 146,549 171,438
Series I    
Repurchase Agreement Counterparty [Line Items]    
Aggregate Principal Committed 67,837 67,837
Outstanding Principal 23,545 33,228
Unused Portion 44,292 34,609
Carrying Value 23,545 33,228
Series II    
Repurchase Agreement Counterparty [Line Items]    
Aggregate Principal Committed 282,163 282,163
Outstanding Principal 123,004 138,210
Unused Portion 159,159 143,954
Carrying Value $ 123,004 $ 138,210
Bank of America, N A | Real Estate (Residential Mortgage Loans)    
Repurchase Agreement Counterparty [Line Items]    
Interest Rate 130.00% 130.00%
Maturity Date Sep. 29, 2026 Sep. 29, 2026
Aggregate Principal Committed $ 350,000 $ 350,000
Outstanding Principal 146,549 171,438
Unused Portion 203,451 178,562
Carrying Value 146,549 171,438
Bank of America, N A | Real Estate (Residential Mortgage Loans) | Series I    
Repurchase Agreement Counterparty [Line Items]    
Aggregate Principal Committed 67,837 67,837
Outstanding Principal 23,545 33,228
Unused Portion 44,292 34,609
Carrying Value 23,545 33,228
Bank of America, N A | Real Estate (Residential Mortgage Loans) | Series II    
Repurchase Agreement Counterparty [Line Items]    
Aggregate Principal Committed 282,163 282,163
Outstanding Principal 123,004 138,210
Unused Portion 159,159 143,954
Carrying Value $ 123,004 $ 138,210