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Debt - The Merger (Details)
$ in Thousands
3 Months Ended
Mar. 01, 2024
USD ($)
derivative_held
Mar. 31, 2024
USD ($)
derivative_held
Dec. 31, 2023
building
Aug. 31, 2022
derivative_held
Apr. 30, 2022
derivative_held
Debt Instrument          
Number of interest-rate contracts held | derivative_held   1      
Capitalized costs $ 1,000        
Net discount on mortgage debt   $ 159,171      
Cash Flow Hedging | Designated as Hedging Instrument          
Debt Instrument          
Number of interest-rate contracts held | derivative_held   2      
Interest rate swap instruments | Designated as Hedging Instrument          
Debt Instrument          
Number of interest-rate contracts held | derivative_held       2  
Interest rate swap instruments | Cash Flow Hedging | Designated as Hedging Instrument          
Debt Instrument          
Number of interest-rate contracts held | derivative_held         2
2028 Term Loan | Senior Unsecured Term Loan          
Debt Instrument          
Aggregate principal amount $ 400,000        
Interest rate, effective percentage 4.44%        
2028 Term Loan | Senior Unsecured Term Loan | Interest rate swap instruments | Cash Flow Hedging | Designated as Hedging Instrument          
Debt Instrument          
Number of interest-rate contracts held | derivative_held 3        
2028 Term Loan | Senior Unsecured Term Loan | Secured Overnight Financing Rate (SOFR)          
Debt Instrument          
Debt Instrument, basis spread on variable rate 0.10% 1.00%      
2028 Term Loan | Senior Unsecured Term Loan | Secured Overnight Financing Rate (SOFR) | Minimum          
Debt Instrument          
Debt Instrument, basis spread on variable rate 0.85%        
2028 Term Loan | Senior Unsecured Term Loan | Secured Overnight Financing Rate (SOFR) | Maximum          
Debt Instrument          
Debt Instrument, basis spread on variable rate 1.65%        
2028 Term Loan | Senior Unsecured Term Loan | Base Rate | Minimum          
Debt Instrument          
Debt Instrument, basis spread on variable rate 0.00%        
2028 Term Loan | Senior Unsecured Term Loan | Base Rate | Maximum          
Debt Instrument          
Debt Instrument, basis spread on variable rate 0.65%        
Senior Unsecured Term Loan          
Debt Instrument          
Aggregate principal amount $ 1,250,000        
Senior Unsecured Notes Due 2027          
Debt Instrument          
Aggregate principal amount $ 400,000        
Interest rate, stated percentage 4.30%        
Senior Unsecured Notes Due 2028          
Debt Instrument          
Aggregate principal amount $ 350,000        
Interest rate, stated percentage 3.95%        
Senior Unsecured Notes Due 2031          
Debt Instrument          
Aggregate principal amount $ 500,000        
Interest rate, stated percentage 2.63%        
Mortgage Debt          
Debt Instrument          
Aggregate principal amount $ 128,000        
Interest payment $ 59,000        
Bearing fixed interest rate (as a percent) 3.77%        
Variable interest, amount $ 69,000        
Bearing variable interest rate (as a percent) 7.25%        
Net discount on mortgage debt $ 500        
Mortgage Debt | Interest rate swap instruments | Cash Flow Hedging | Designated as Hedging Instrument          
Debt Instrument          
Aggregate principal amount $ 36,000 $ 36,000      
Number of interest-rate contracts held | derivative_held 1        
Mortgage Debt | Outpatient Medical Buildings          
Debt Instrument          
Property count | building     5    
Debt assumed $ 259,000