Annual report [Section 13 and 15(d), not S-K Item 405]

Debt, Net - Narrative (Details)

v3.25.4
Debt, Net - Narrative (Details)
3 Months Ended 12 Months Ended
Dec. 31, 2025
USD ($)
$ / shares
Oct. 06, 2025
USD ($)
extension
Oct. 02, 2025
USD ($)
Sep. 12, 2023
USD ($)
day
$ / shares
Dec. 31, 2025
USD ($)
$ / shares
Dec. 31, 2025
USD ($)
$ / shares
Dec. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Oct. 16, 2025
USD ($)
Sep. 30, 2025
USD ($)
Debt Instrument [Line Items]                    
Capitalized interest costs           $ 5,200,000 $ 2,900,000 $ 4,500,000    
Revolving Development Facility | Secured Debt | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Maximum borrowing capacity                 $ 200,000,000.0  
Extension option period           12 months        
Extension fee percentage           0.25%        
Current borrowing capacity $ 200,000,000.0       $ 200,000,000.0 $ 200,000,000.0        
Remaining borrowing capacity 104,000,000.0       104,000,000.0 104,000,000.0        
Weighted average borrowings           $ 123,400,000        
Weighted average interest rate           5.30%        
Revolving Development Facility | Secured Debt | Minimum                    
Debt Instrument [Line Items]                    
Variable rate, spread           1.25%        
Revolving Development Facility | Secured Debt | Minimum | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Variable rate, spread           1.25%        
Commitment fee percentage           0.125%        
Revolving Development Facility | Secured Debt | Maximum                    
Debt Instrument [Line Items]                    
Variable rate, spread           1.90%        
Revolving Development Facility | Secured Debt | Maximum | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Variable rate, spread           1.90%        
Commitment fee percentage           0.30%        
Credit Agreement | Line of Credit | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Maximum borrowing capacity   $ 800,000,000.0               $ 600,000,000.0
Extension option period   6 months                
Extension fee percentage   0.0625%                
Current borrowing capacity 800,000,000.0       800,000,000.0 $ 800,000,000.0        
Remaining borrowing capacity $ 746,000,000.0       746,000,000.0 746,000,000.0        
Weighted average borrowings           $ 100,900,000 $ 78,300,000      
Weighted average interest rate           5.40% 6.30%      
Number of extensions | extension   2                
Credit Agreement | Line of Credit | Minimum | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Variable rate, spread   0.725%       0.725%        
Commitment fee percentage   0.125%                
Credit Agreement | Line of Credit | Maximum | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Variable rate, spread   1.40%       1.40%        
Commitment fee percentage   0.30%                
Credit Agreement | Term Loan Facility | Term Loan Facility                    
Debt Instrument [Line Items]                    
Extension option period   12 months                
Extension fee percentage   0.125%                
Loan amount   $ 125,000,000.0                
Repayments of debt         $ 75,000,000.0          
Interest rate 4.90%       4.90% 4.90%        
Credit Agreement | Term Loan Facility | Minimum | Term Loan Facility                    
Debt Instrument [Line Items]                    
Variable rate, spread   0.85%       0.85%        
Credit Agreement | Term Loan Facility | Maximum | Term Loan Facility                    
Debt Instrument [Line Items]                    
Variable rate, spread   1.70%       1.70%        
5.25%, $345,000 aggregate principal | Unsecured Senior Notes                    
Debt Instrument [Line Items]                    
Loan amount $ 345,000,000     $ 345,000,000.0 $ 345,000,000 $ 345,000,000        
Interest rate 5.25%     5.25% 5.25% 5.25%        
Exchange price per share (in dollars per share) | $ / shares $ 29.83     $ 29.96 $ 29.83 $ 29.83        
Proceeds from issuance of debt       $ 336,400,000            
Threshold percentage of stock price trigger       130.00%            
Threshold trading days | day       20            
Threshold consecutive trading days | day       30            
Redemption price       100.00%            
Exchange rate 0.0335201     0.0333739            
2.25%, 2.75%, 2.00%, 2.90% and 4.50% Unsecured Senior Notes | Unsecured Senior Notes                    
Debt Instrument [Line Items]                    
Redemption price           100.00%        
2.25%, $400,000 aggregate principal | Unsecured Senior Notes                    
Debt Instrument [Line Items]                    
Loan amount $ 400,000,000       $ 400,000,000 $ 400,000,000        
Interest rate 2.25%       2.25% 2.25%        
Basis point used in determining redemption price prior to maturity           0.35%        
2.00%, $400,000 aggregate principal | Unsecured Senior Notes                    
Debt Instrument [Line Items]                    
Loan amount $ 400,000,000       $ 400,000,000 $ 400,000,000        
Interest rate 2.00%       2.00% 2.00%        
Basis point used in determining redemption price prior to maturity           0.20%        
2.75%, $600,000 aggregate principal | Unsecured Senior Notes                    
Debt Instrument [Line Items]                    
Loan amount $ 600,000,000       $ 600,000,000 $ 600,000,000        
Interest rate 2.75%       2.75% 2.75%        
Basis point used in determining redemption price prior to maturity           0.25%        
2.90%, $400,000 aggregate principal | Unsecured Senior Notes                    
Debt Instrument [Line Items]                    
Loan amount $ 400,000,000       $ 400,000,000 $ 400,000,000        
Interest rate 2.90%       2.90% 2.90%        
Basis point used in determining redemption price prior to maturity           0.25%        
4.50%, $400,000 aggregate principal | Unsecured Senior Notes                    
Debt Instrument [Line Items]                    
Loan amount $ 400,000,000   $ 400,000,000.0   $ 400,000,000 $ 400,000,000        
Interest rate 4.50%   4.50%   4.50% 4.50%        
Initial offering price     99.46%              
Proceeds from issuance of debt     $ 395,500,000              
Basis point used in determining redemption price prior to maturity           0.15%