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Other Assets and Other Liabilities - Schedule of Other Assets (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Other Liabilities Disclosure [Abstract]    
Sales-type sub-leases, net $ 842,776 $ 847,330
Property and equipment used in operations, net 70,347 66,946
Right of use assets and sub-lease right of use assets 54,144 38,345
Deferred acquisition costs 13,964 10,087
Other receivables 9,166 9,660
Debt financing costs 8,029 11,332
Forward-starting interest rate swaps 7,717 1,563
Interest receivable 7,180 9,351
Deferred income taxes 5,865 9,423
Tenant reimbursement receivables 5,066 6,236
Prepaid expenses 4,534 4,728
Other 1,856 329
Total other assets [1] 1,030,644 1,015,330
Other assets (sales-type sub-leases), allowance for credit losses $ 20,600 $ 18,700
[1] As of December 31, 2024 and December 31, 2023, our Investments in leases - sales-type, Investments in leases - financing receivables, Investments in loans and Other assets (sales-type sub-leases) are net of $802.7 million, $737.1 million, $25.0 million and $20.6 million, respectively, and $701.1 million, $703.6 million, $29.8 million, and $18.7 million, respectively, of Allowance for credit losses. Refer to Note 5 - Allowance for Credit Losses for further details.