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Note 11 - Notes Payable (Tables)
3 Months Ended
Mar. 31, 2024
Notes Tables  
Schedule of Debt [Table Text Block]

Type

 

Amount Assumed

  

Interest Rate

 Maturity Date

Unsecured notes (1)

 $511.5   3.64%-4.74% Jun-25-Nov-31

Unsecured term loan (2)

 $50.0   4.15% Nov-26

Unsecured term loan (2)

 $100.0   4.11% Feb-27

Unsecured term loan (2)

 $50.0   3.43% Aug-27

Unsecured term loan (2)

 $110.0   3.71% Feb-28
Schedule of Maturities of Long-Term Debt [Table Text Block]

Type

 

Date Paid

 

Amount Repaid

  

Interest Rate

  

Maturity Date

Unsecured note

 

Jan-24

 $246.2   4.45%  

Jan-24

Unsecured note

 

Mar-24

 $400.0   2.70%  

Mar-24