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Debt - Scheduled Principal Repayments (Details) - USD ($)
$ in Thousands
Mar. 31, 2025
Dec. 31, 2024
Debt Disclosure [Abstract]    
2025 $ 475,888  
2026 185,698  
2027 214,676  
2028 581,804  
2029 173,292  
Thereafter 2,915  
Long-term debt and convertible notes payable [1],[2] 1,634,273 $ 1,547,947
Unamortized premium 1,922 212
Net unamortized debt issuance costs (10,412) (10,893)
Total Indebtedness $ 1,625,783 $ 1,537,266
[1] Includes $111.2 million and $111.2 million, respectively, of variable-rate debt that is subject to interest cap agreements as of the periods presented. The effective fixed rates ranged from 5.00% to 6.00%.
[2] Includes $939.3 million and $852.0 million, respectively, of variable-rate debt that has been fixed with interest rate swap agreements as of the periods presented. The effective fixed rates ranged from 1.98% to 4.54%.