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Notes Payable - Maturities (Details) - Notes and bonds payable - USD ($)
$ in Thousands
Mar. 31, 2024
Dec. 31, 2023
Debt    
Unamortized net premiums, deferred financing costs and basis adjustment on interest rate swaps designated as fair value hedge $ (254,126) $ 40,255
Maturity of notes and bonds payable    
2024 350,000  
2025 1,050,000  
2026 2,375,000  
2027 2,321,500  
2028 2,499,800  
Thereafter 13,405,800  
Totals $ 22,002,130 $ 18,562,064