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DERIVATIVE FINANCIAL INSTRUMENTS (Details) - USD ($)
$ in Thousands
Sep. 30, 2025
Dec. 31, 2024
Liabilities    
Notional Amount $ 328,610 $ 328,610
Interest Rate Swap, 3.713% | Cash Flow Hedging    
Assets    
Notional Amount $ 0 250,000
Strike 3.713%  
Fair value $ 0 1,666
Liabilities    
Notional Amount 250,000 0
Fair value (1,401) 0
Interest Rate Swap, 3.629% | Cash Flow Hedging    
Assets    
Notional Amount $ 0 27,062
Strike 3.629%  
Fair value $ 0 206
Liabilities    
Notional Amount 27,062 0
Fair value (41) 0
Interest Rate Swap, 3.725% | Cash Flow Hedging    
Assets    
Notional Amount $ 0 51,548
Strike 3.725%  
Fair value $ 0 313
Liabilities    
Notional Amount 51,548 0
Fair value $ (162) $ 0