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Debt - Summary of Company's Securitizations (Details) - USD ($)
$ in Thousands
1 Months Ended
Oct. 31, 2025
Mar. 31, 2025
Nov. 30, 2024
Jun. 30, 2024
Feb. 28, 2022
Oct. 31, 2021
Jul. 31, 2021
Mar. 31, 2026
Dec. 31, 2025
Line of Credit Facility [Line Items]                  
Debt Balance               $ 1,621,398 $ 1,650,764
Restricted Cash Reserves   $ 122,312           98,364 $ 94,174
RMIT 2021-2                  
Line of Credit Facility [Line Items]                  
Issue Date             2021-07    
Issue Amount             $ 200,000    
Debt Balance               200,192  
Restricted Cash Reserves               $ 2,083  
Effective interest rate               2.30%  
Revolving Period End Date               2026-07  
Maturity Date               2033-08  
RMIT 2021-3                  
Line of Credit Facility [Line Items]                  
Issue Date           2021-10      
Issue Amount           $ 125,000      
Debt Balance               $ 125,202  
Restricted Cash Reserves               $ 1,471  
Effective interest rate               3.90%  
Revolving Period End Date               2026-09  
Maturity Date               2033-10  
RMIT 2022-1                  
Line of Credit Facility [Line Items]                  
Issue Date         2022-02        
Issue Amount         $ 250,000        
Debt Balance               $ 72,683  
Restricted Cash Reserves               $ 2,646  
Effective interest rate               4.80%  
Revolving Period End Date               2025-02  
Maturity Date               2032-03  
RMIT 2024-1                  
Line of Credit Facility [Line Items]                  
Issue Date       2024-06          
Issue Amount       $ 187,305          
Debt Balance               $ 187,788  
Restricted Cash Reserves               $ 1,078  
Effective interest rate               6.20%  
Revolving Period End Date               2027-05  
Maturity Date               2036-07  
RMIT 2024-2                  
Line of Credit Facility [Line Items]                  
Issue Date     2024-11            
Issue Amount     $ 250,000            
Debt Balance               $ 250,557  
Restricted Cash Reserves               $ 1,418  
Effective interest rate               5.30%  
Revolving Period End Date               2026-11  
Maturity Date               2033-12  
RMIT 2025-1                  
Line of Credit Facility [Line Items]                  
Issue Date   2025-03              
Issue Amount   $ 265,000              
Debt Balance               $ 265,585  
Restricted Cash Reserves               $ 1,489  
Effective interest rate               5.30%  
Revolving Period End Date               2027-03  
Maturity Date               2034-04  
RMIT 2025-2                  
Line of Credit Facility [Line Items]                  
Issue Date 2025-10                
Issue Amount $ 252,810                
Debt Balance               $ 253,318  
Restricted Cash Reserves               $ 1,389  
Effective interest rate               4.80%  
Revolving Period End Date               2027-10  
Maturity Date               2037-11  
Securitizations                  
Line of Credit Facility [Line Items]                  
Issue Amount               $ 1,530,115  
Debt Balance               1,355,325  
Restricted Cash Reserves               $ 11,574