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Debt - Scheduled of principal amortization and maturity payments for our outstanding debt balances (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Amortization    
2023 [1] $ 29,362  
2024 [1] 30,841  
2025 [1],[2] 29,539  
2026 [1] 24,012  
2027 21,445  
Thereafter 186,190  
Total 321,389  
Maturities    
2023 [1] 0  
2024 [1] 88,500  
2025 [1],[2] 971,323  
2026 [1] 361,950  
2027 163,098  
Thereafter 1,288,391  
Total 2,873,262  
Total indebtedness 3,641,629 $ 3,743,286
Long Term Debt Amortization and Maturities    
2023 [1] 29,362  
2024 [1] 119,341  
2025 [1],[2] 1,000,862  
2026 [1] 385,962  
2027 184,543  
Thereafter 1,474,581  
Total $ 3,194,651  
[1] Amounts presented above are inclusive of extension options on our terms loans, as outlined above.
[2] The table above excludes our revolving credit facility due April 2025, which had an outstanding balance of $462 million as of December 31, 2022.