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Unsecured Senior Notes - Narrative (Details)
1 Months Ended 12 Months Ended
Oct. 14, 2025
USD ($)
Oct. 06, 2025
USD ($)
Apr. 08, 2025
USD ($)
Mar. 15, 2025
USD ($)
Dec. 27, 2024
USD ($)
Nov. 21, 2024
USD ($)
Oct. 10, 2024
USD ($)
Mar. 27, 2024
USD ($)
Jan. 25, 2022
USD ($)
Jul. 14, 2021
USD ($)
Jul. 31, 2023
USD ($)
Dec. 31, 2025
USD ($)
condition
$ / shares
Dec. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Dec. 04, 2017
USD ($)
Secured Borrowings                              
Closing share price (in dollars per share) | $ / shares                       $ 18.01      
Unamortized discount—Convertible Notes                              
Secured Borrowings                              
Interest expense debt                       $ 28,200,000 $ 28,100,000 $ 16,600,000  
2025 Senior Notes                              
Secured Borrowings                              
Face Amount                             $ 500,000,000.0
Coupon Rate                       4.75%     4.75%
Repayments of debt       $ 250,000,000.0   $ 250,000,000.0                  
2026 Senior Notes                              
Secured Borrowings                              
Face Amount                   $ 400,000,000.0          
Coupon Rate                   3.625%   3.63%      
2026 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage                   100.00%          
2027 Senior Notes                              
Secured Borrowings                              
Face Amount                 $ 500,000,000.0            
Coupon Rate                 4.375%     4.38%      
2027 Senior Notes | Redemption period one                              
Secured Borrowings                              
Redemption percentage                 100.00%            
2027 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage                 100.00%            
2028 Senior Notes                              
Secured Borrowings                              
Face Amount   $ 500,000,000.0                          
Coupon Rate   5.25%                   5.25%      
2028 Senior Notes | Redemption period one                              
Secured Borrowings                              
Redemption percentage   100.00%                          
2028 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage   100.00%                          
2028 Senior Notes | Redemption period three                              
Secured Borrowings                              
Redemption percentage   40.00%                          
2029 Senior Notes                              
Secured Borrowings                              
Face Amount               $ 600,000,000.0              
Coupon Rate               7.25%       7.25%      
2029 Senior Notes | Redemption period one                              
Secured Borrowings                              
Redemption percentage               100.00%              
2029 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage               100.00%              
2029 Senior Notes | Redemption period three                              
Secured Borrowings                              
Redemption percentage               40.00%              
April 2030 Senior Notes                              
Secured Borrowings                              
Face Amount             $ 400,000,000.0                
Coupon Rate             6.00%         6.00%      
April 2030 Senior Notes | Redemption period one                              
Secured Borrowings                              
Redemption percentage             100.00%                
April 2030 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage             100.00%                
April 2030 Senior Notes | Redemption period three                              
Secured Borrowings                              
Redemption percentage             40.00%                
July 2030 Senior Notes                              
Secured Borrowings                              
Face Amount         $ 500,000,000.0                    
Coupon Rate         6.50%             6.50%      
July 2030 Senior Notes | Redemption period one                              
Secured Borrowings                              
Redemption percentage         100.00%                    
July 2030 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage         100.00%                    
July 2030 Senior Notes | Redemption period three                              
Secured Borrowings                              
Redemption percentage         40.00%                    
October 2030 Senior Notes                              
Secured Borrowings                              
Face Amount     $ 500,000,000.0                        
Coupon Rate     6.50%                 6.50%      
October 2030 Senior Notes | Redemption period one                              
Secured Borrowings                              
Redemption percentage     100.00%                        
October 2030 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage     100.00%                        
October 2030 Senior Notes | Redemption period three                              
Secured Borrowings                              
Redemption percentage     40.00%                        
2031 Senior Notes                              
Secured Borrowings                              
Face Amount $ 550,000,000.0                            
Coupon Rate 5.75%                     5.75%      
2031 Senior Notes | Redemption period one                              
Secured Borrowings                              
Redemption percentage 100.00%                            
2031 Senior Notes | Redemption period two                              
Secured Borrowings                              
Redemption percentage 100.00%                            
2031 Senior Notes | Redemption period three                              
Secured Borrowings                              
Redemption percentage 40.00%                            
2027 Convertible Notes                              
Secured Borrowings                              
Face Amount                     $ 380,800,000        
Coupon Rate                     6.75% 6.75%      
Proceeds from convertible debt                     $ 371,200,000        
Amount by which if-converted value of the notes are greater than principal amount                       $ 50,400,000      
Conversion price (in dollars per share) | $ / shares                       $ 20.76      
If-converted value                       $ 330,400,000      
Convertible notes carrying value                       376,400,000      
Convertible notes fair value                       $ 391,900,000      
Minimum number of conditions to be satisfied for conversion of debt | condition                       1      
2027 Convertible Notes | Conversion upon satisfaction of closing market price condition                              
Secured Borrowings                              
Minimum trading period as a basis for debt conversion                       20 days      
Consecutive trading period as a basis for debt conversion                       30 days      
2027 Convertible Notes | Conversion upon satisfaction of trading price condition                              
Secured Borrowings                              
Consecutive trading period as a basis for debt conversion                       5 days      
2027 Convertible Notes | Minimum | Conversion upon satisfaction of closing market price condition                              
Secured Borrowings                              
Percentage of conversion price as a basis for debt conversion                       110.00%      
Period of average closing market price of common stock as a basis for debt conversion                       10 days      
Percentage of per share value of distributions that exceeds the market price of the entity's common stock as a basis for debt conversion                       10.00%      
2027 Convertible Notes | Maximum | Conversion upon satisfaction of trading price condition                              
Secured Borrowings                              
Percentage of conversion price and last reported sales price as a basis for debt conversion                       98.00%