v3.26.1
Noncontrolling Interests - Schedule of Number of PI Units Outstanding (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2026
Dec. 31, 2025
Number of Units    
Vested (in shares) 0 0
Forfeited (in shares) (831)  
Number of units outstanding at the end of the period (in shares) 713,743  
Value    
Units outstanding at the end of the period [1] $ 40,543  
The 2018 Long-Term Incentive Plan    
Number of Units    
Granted (in shares) 816,946  
PI Units | The 2018 Long-Term Incentive Plan    
Number of Units    
Number of units outstanding at the beginning of the period (in shares) 20,326  
Granted (in shares) 0  
Vested (in shares) (9,094)  
Forfeited (in shares) 0  
Number of units outstanding at the end of the period (in shares) 11,232 20,326
Value    
Units outstanding at the beginning of the period [2] $ 2,084  
Granted [2] 0  
Vested [2] (1,377)  
Forfeited [2] 0  
Units outstanding at the end of the period $ 707 $ 2,084 [2]
[1] Value is based on the number of RSUs granted multiplied by the most recent NAV per share on the date of grant, which is an estimated fair value, which was $54.88 for the April 2, 2026 grant, $54.54 for the April 4, 2025 grant, $58.95 for the April 3, 2024 grant, $63.04 for the April 11, 2023 grant and $54.14 for the February 17, 2022 grant. Related to the accelerated RSU award vestings, the NAV per share on the date of modification was $54.56.
[2] Value is based on the number of PI Units granted multiplied by the estimated per unit fair value on the date of grant, which was $61.74 for the August 10, 2022 grant and $63.04 for the February 22, 2023 grant.