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Fair Value (Tables)
9 Months Ended
Sep. 30, 2024
Fair Value Disclosures [Abstract]  
Schedule of Carrying Values and Fair Values of Debt Instruments
The following table displays the carrying values and fair values of our debt instruments as of September 30, 2024 and December 31, 2023 (amounts in thousands):
September 30, 2024December 31, 2023
Carrying ValueFair ValueCarrying ValueFair Value
AMH 2014-SFR2 securitization, net$— $— $460,507 $463,237 
AMH 2014-SFR3 securitization, net— — 475,854 478,833 
AMH 2015-SFR1 securitization, net496,159 498,603 500,713 503,668 
AMH 2015-SFR2 securitization, net430,940 433,815 434,347 437,508 
Total asset-backed securitizations, net927,099 932,418 1,871,421 1,883,246 
2028 unsecured senior notes, net497,337 495,595 496,745 486,875 
2029 unsecured senior notes, net397,524 404,312 397,107 396,956 
2031 unsecured senior notes, net442,951 387,122 442,172 371,817 
2032 unsecured senior notes, net585,012 554,910 583,521 539,304 
2034 unsecured senior notes I, net594,529 620,004 — — 
2034 unsecured senior notes II, net493,162 517,470 — — 
2051 unsecured senior notes, net291,729 211,587 291,498 207,264 
2052 unsecured senior notes, net289,470 248,697 289,183 244,275 
Total unsecured senior notes, net3,591,714 3,439,697 2,500,226 2,246,491 
Revolving credit facility— — 90,000 90,000 
Total debt$4,518,813 $4,372,115 $4,461,647 $4,219,737