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Fair Value (Tables)
6 Months Ended
Jun. 30, 2025
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 June 30, 2025 and December 31, 2024 (amounts in thousands):
June 30, 2025December 31, 2024
Carrying ValueFair ValueCarrying ValueFair Value
AMH 2015-SFR1 securitization, net$— $— $494,635 $496,776 
AMH 2015-SFR2 securitization, net427,275 429,230 429,709 432,316 
Total asset-backed securitizations, net427,275 429,230 924,344 929,092 
2028 unsecured senior notes, net497,929 497,340 497,534 488,265 
2029 unsecured senior notes, net397,947 404,604 397,665 397,064 
2030 unsecured senior notes, net641,361 656,767 — — 
2031 unsecured senior notes, net443,730 392,036 443,210 376,947 
2032 unsecured senior notes, net586,503 554,850 585,509 537,174 
2034 unsecured senior notes I, net594,935 610,626 594,640 597,504 
2034 unsecured senior notes II, net493,681 507,305 493,336 496,185 
2035 unsecured senior notes, net493,530 497,060 493,150 487,335 
2051 unsecured senior notes, net291,961 199,089 291,807 198,174 
2052 unsecured senior notes, net289,757 234,303 289,567 234,258 
Total unsecured senior notes, net4,731,334 4,553,980 4,086,418 3,812,906 
Revolving credit facility— — — — 
Total debt$5,158,609 $4,983,210 $5,010,762 $4,741,998