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Debt of the Operating Partnership - Schedule of Debt Maturities And Principal Payments (Details) - Digital Realty Trust, L.P.
$ in Thousands, € in Millions
6 Months Ended
Jun. 30, 2023
USD ($)
Option
Jun. 30, 2023
EUR (€)
Dec. 31, 2022
USD ($)
Debt Instrument      
2023 $ 111,778    
2024 976,673    
2025 2,775,949    
2026 3,834,581    
2027 1,370,882    
Thereafter 8,786,337    
Subtotal 17,856,200   $ 16,723,855
Unamortized net discounts (35,380)    
Unamortized deferred financing costs (91,369)    
Total 17,729,451    
Global revolving credit facilities      
Debt Instrument      
2026 2,257,864    
Subtotal 2,257,864   2,167,889
Unamortized deferred financing costs (15,606)    
Total $ 2,242,258    
Number of extension option | Option 2    
Maturity extension option term 6 months    
Unsecured term loans      
Debt Instrument      
2025 $ 1,558,175    
Subtotal 1,558,175   802,875
Unamortized deferred financing costs (9,395)    
Total $ 1,548,780    
Number of extension option | Option 2    
Maturity extension option term 1 year    
Debt face amount | €   € 375.0  
Unsecured senior notes      
Debt Instrument      
2023 $ 111,665    
2024 972,115    
2025 1,217,205    
2026 1,479,795    
2027 1,167,497    
Thereafter 8,531,089    
Subtotal 13,479,366   13,220,961
Unamortized net discounts (35,380)    
Unamortized deferred financing costs (60,167)   (63,648)
Total 13,383,819    
Secured and other debt      
Debt Instrument      
Subtotal $ 560,795   $ 532,130
U.S. Term Loan      
Debt Instrument      
Number of extension option | Option 1    
Maturity extension option term 12 months    
Debt face amount $ 740,000    
Percentage of extension fee 0.1875% 0.1875%  
Secured and Other Debt      
Debt Instrument      
2023 $ 113    
2024 4,558    
2025 569    
2026 96,922    
2027 203,385    
Thereafter 255,248    
Subtotal 560,795    
Unamortized deferred financing costs (6,201)    
Total $ 554,594