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Indebtedness - Narrative (Details)
1 Months Ended 3 Months Ended 9 Months Ended
Nov. 03, 2025
USD ($)
property
Sep. 30, 2025
USD ($)
option
property
Jun. 30, 2025
USD ($)
option
property
May 31, 2025
USD ($)
property
Apr. 30, 2025
USD ($)
property
Mar. 31, 2025
USD ($)
property
Sep. 30, 2025
USD ($)
option
property
Jun. 30, 2025
USD ($)
option
property
Sep. 30, 2024
USD ($)
Sep. 30, 2025
USD ($)
option
property
Sep. 30, 2024
USD ($)
Nov. 01, 2025
USD ($)
Dec. 31, 2024
USD ($)
Indebtedness                          
Number of properties owned (property) | property   335         335     335      
Repayments amount                   $ 986,164,000      
Proceeds from issuance of senior secured notes, net                   369,375,000 $ 0    
Loss on modification or early extinguishment of debt             $ 11,191,000   $ 0 40,388,000 209,000    
Secured revolving credit facility   $ 0         $ 0     $ 0     $ 0
Held for sale                          
Indebtedness                          
Number of properties owned (property) | property   50         50     50      
Held for sale | Subsequent Event                          
Indebtedness                          
Number of properties owned (property) | property 38                        
Held for sale | SHOP                          
Indebtedness                          
Number of properties owned (property) | property   24         24     24      
Senior unsecured notes                          
Indebtedness                          
Debt face amount   $ 1,600,000,000         $ 1,600,000,000     $ 1,600,000,000     1,980,000,000
Unsecured Debt, Not Guaranteed                          
Indebtedness                          
Debt face amount   1,100,000,000         1,100,000,000     1,100,000,000      
Senior unsecured notes, 4.375% coupon rate, due 2031 | Senior unsecured notes                          
Indebtedness                          
Debt face amount   $ 500,000,000         $ 500,000,000     $ 500,000,000     500,000,000
Interest rate (as a percent)   4.375%         4.375%     4.375%      
Senior Secured Note Due 2026 | Subsequent Event                          
Indebtedness                          
Redemption of senior notes $ 90,529,000                        
Senior Secured Note Due 2026 | Held for sale | Subsequent Event                          
Indebtedness                          
Number of real estate properties under agreement | property 12                        
Senior Secured Note Due 2026 | Secured Debts                          
Indebtedness                          
Interest rate (as a percent)   0.00%       0.00% 0.00%     0.00%      
Accreted value increase rate   11.25%         11.25%     11.25%      
Amortization of debt discount             $ 16,313,000   $ 22,034,000 $ 54,742,000 $ 64,133,000    
Redemption of senior notes   $ 307,006,000                      
Repayments amount   307,006,000       $ 299,158,000              
Outstanding principal balance   641,376,000       940,534,000 641,376,000     $ 641,376,000      
Loss on modification or early extinguishment of debt   $ 11,191,000       29,071,000 $ 11,191,000            
Floating Rate Mortgage Loan 6.82 Percent Due March 2028 | Secured Debts                          
Indebtedness                          
Debt face amount           $ 140,000,000              
Interest rate (as a percent)   6.63%         6.63%     6.63%      
Basis points per annum (as a percent)           2.50%       2.50%      
Number of extension options | option   2         2     2      
Extension term                   6 months      
Floating Rate Mortgage Loan 6.82 Percent Due March 2028 | Secured Debts | SHOP                          
Indebtedness                          
Number of properties owned (property) | property           14              
Mortgage Notes 6.22 Percent Due May 2035 | Secured Debts                          
Indebtedness                          
Debt face amount         $ 108,873,000                
Interest rate (as a percent)   6.22%     6.22%   6.22%     6.22%      
Mortgage Notes 6.22 Percent Due May 2035 | Secured Debts | SHOP                          
Indebtedness                          
Number of properties owned (property) | property         7                
Mortgage Notes 6.57 Percent Due June 2030 | Secured Debts                          
Indebtedness                          
Debt face amount       $ 64,000,000                  
Interest rate (as a percent)   6.57%   6.57%     6.57%     6.57%      
Mortgage Notes 6.57 Percent Due June 2030 | Secured Debts | SHOP                          
Indebtedness                          
Number of properties owned (property) | property       4                  
Mortgage Notes 6.36 Percent Due June 2035 | Secured Debts                          
Indebtedness                          
Debt face amount       $ 30,284,000                  
Interest rate (as a percent)   6.36%   6.36%     6.36%     6.36%      
Mortgage Notes 6.36 Percent Due June 2035 | Secured Debts | SHOP                          
Indebtedness                          
Number of properties owned (property) | property       2                  
Senior unsecured notes, 9.750% coupon rate, due 2025 | Senior unsecured notes                          
Indebtedness                          
Debt face amount   $ 0         $ 0     $ 0     $ 380,000,000
Interest rate (as a percent)   9.75% 9.75% 9.75% 9.75%   9.75% 9.75%   9.75%      
Repayments amount     $ 100,000,000 $ 140,000,000 $ 140,000,000     $ 380,000,000          
Outstanding principal balance     100,000,000 240,000,000 380,000,000     100,000,000          
Loss on modification or early extinguishment of debt     0 $ 44,000 $ 82,000                
Secured Revolving Credit Facility Due 2029 | Secured Debts                          
Indebtedness                          
Interest rate (as a percent)   6.84%         6.84%     6.84%      
Basis points per annum (as a percent)                   2.50%      
Revolving credit facility, maximum borrowing capacity     $ 150,000,000         $ 150,000,000          
Number of extension options | option     2         2          
Extension term     6 months                    
Secured revolving credit facility   $ 0         $ 0     $ 0      
Remaining borrowing capacity   150,000,000         150,000,000     150,000,000      
Secured Revolving Credit Facility Due 2029 | Secured Debts | Subsequent Event                          
Indebtedness                          
Secured revolving credit facility                       $ 0  
Remaining borrowing capacity                       $ 150,000,000  
Secured Revolving Credit Facility Due 2029 | Secured Debts | Minimum                          
Indebtedness                          
Basis points per annum (as a percent)     2.50%                    
Unused commitment fee percentage     0.25%                    
Secured Revolving Credit Facility Due 2029 | Secured Debts | Maximum                          
Indebtedness                          
Basis points per annum (as a percent)     3.00%                    
Unused commitment fee percentage     0.35%                    
Secured Revolving Credit Facility Due 2029 | Secured Debts | SHOP                          
Indebtedness                          
Number of properties owned (property) | property     14         14          
Senior Secured Note Due 2030 | Secured Debts                          
Indebtedness                          
Debt face amount   $ 375,000,000         $ 375,000,000     $ 375,000,000      
Interest rate (as a percent)   7.25%         7.25%     7.25%      
Proceeds from issuance of senior secured notes, net   $ 364,726,000