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DERIVATIVE INSTRUMENTS - Schedule of Interest Rate Swaps (Details)
$ in Thousands
6 Months Ended
Jun. 30, 2026
USD ($)
Interest Rate Swaps  
DERIVATIVE INSTRUMENTS  
Variable rate 3.64%
Interest Rate Swap, One  
DERIVATIVE INSTRUMENTS  
Debt instrument, start maturity date Sep. 30, 2021
Debt instrument, end maturity date Jul. 23, 2026
Notional Amount $ 76,250
Fixed Rate 0.812%
Interest Rate Swap, Two  
DERIVATIVE INSTRUMENTS  
Debt instrument, start maturity date May 31, 2023
Debt instrument, end maturity date Jul. 23, 2026
Notional Amount $ 41,875
Fixed Rate 3.905%
Interest Rate Swap, Three  
DERIVATIVE INSTRUMENTS  
Debt instrument, start maturity date Feb. 14, 2025
Debt instrument, end maturity date Dec. 20, 2029
Notional Amount $ 36,422
Fixed Rate 4.08%
Interest Rate Swap, Four  
DERIVATIVE INSTRUMENTS  
Debt instrument, start maturity date Apr. 07, 2025
Debt instrument, end maturity date Dec. 20, 2029
Notional Amount $ 46,875
Fixed Rate 3.545%
Interest Rate Swap, Five  
DERIVATIVE INSTRUMENTS  
Debt instrument, start maturity date Jul. 31, 2025
Debt instrument, end maturity date Dec. 20, 2029
Notional Amount $ 95,000
Fixed Rate 3.449%