| Blackstone Real Estate Income Trust, Inc. (BSTT) | |||||||||||||||||||||||||||||||||||||||||||||||||
| Q1-CY2026 | Q4-CY2025 | Q3-CY2025 | Q2-CY2025 | Q1-CY2025 | Q4-CY2024 | Q3-CY2024 | Q2-CY2024 | Q1-CY2024 | Q4-CY2023 | Q3-CY2023 | Q2-CY2023 | Q1-CY2023 | Q4-CY2022 | Q3-CY2022 | Q2-CY2022 | Q1-CY2022 | Q4-CY2021 | Q3-CY2021 | Q2-CY2021 | Q1-CY2021 | Q4-CY2020 | Q3-CY2020 | Q2-CY2020 | Q1-CY2020 | Q4-CY2019 | Q3-CY2019 | Q2-CY2019 | Q1-CY2019 | Q4-CY2018 | Q3-CY2018 | Q2-CY2018 | Q1-CY2018 | Q4-CY2017 | Q3-CY2017 | Q2-CY2017 | Q1-CY2017 | Q4-CY2016 | Q3-CY2016 | Q2-CY2016 | Q1-CY2016 | Q4-CY2015 | Q3-CY2015 | Q2-CY2015 | Q1-CY2015 | Q4-CY2014 | Q3-CY2014 | Q2-CY2014 | Q1-CY2014 | |
| Balance Sheet Date | 2025-Dec-31 | 2025-Sep-30 | 2025-Jun-30 | 2025-Mar-31 | 2024-Dec-31 | 2024-Sep-30 | 2024-Jun-30 | 2024-Mar-31 | 2023-Dec-31 | 2023-Sep-30 | 2023-Jun-30 | 2023-Mar-31 | 2022-Dec-31 | 2022-Sep-30 | 2022-Jun-30 | 2022-Mar-31 | 2021-Dec-31 | 2021-Sep-30 | 2021-Jun-30 | 2021-Mar-31 | 2020-Dec-31 | 2020-Sep-30 | 2020-Jun-30 | 2020-Mar-31 | 2019-Dec-31 | 2019-Sep-30 | 2019-Jun-30 | 2019-Mar-31 | 2018-Dec-31 | 2018-Sep-30 | 2018-Jun-30 | 2018-Mar-31 | 2017-Dec-31 | 2017-Sep-30 | 2017-Jun-30 | 2017-Mar-31 | 2016-Dec-31 | 2016-Sep-30 | |||||||||||
| Fiscal Period | Q4-FY2025 | Q3-FY2025 | Q2-FY2025 | Q1-FY2025 | Q4-FY2024 | Q3-FY2024 | Q2-FY2024 | Q1-FY2024 | Q4-FY2023 | Q3-FY2023 | Q2-FY2023 | Q1-FY2023 | Q4-FY2022 | Q3-FY2022 | Q2-FY2022 | Q1-FY2022 | Q4-FY2021 | Q3-FY2021 | Q2-FY2021 | Q1-FY2021 | Q4-FY2020 | Q3-FY2020 | Q2-FY2020 | Q1-FY2020 | Q4-FY2019 | Q3-FY2019 | Q2-FY2019 | Q1-FY2019 | Q4-FY2018 | Q3-FY2018 | Q2-FY2018 | Q1-FY2018 | Q4-FY2017 | Q3-FY2017 | Q2-FY2017 | Q1-FY2017 | Q4-FY2016 | Q3-FY2016 | |||||||||||
| Operating Cash Flow | 564,142,000$ | 540,030,000$ | 609,123,000$ | 572,454,000$ | 454,610,000$ | 480,398,000$ | 653,829,000$ | 498,488,000$ | 570,705,000$ | 629,734,000$ | 940,203,000$ | 565,847,000$ | 530,697,000$ | 847,684,000$ | 727,473,000$ | 622,823,000$ | 592,672,000$ | 517,171,000$ | 381,606,000$ | 291,636,000$ | 242,453,000$ | 244,656,000$ | 275,756,000$ | 209,039,000$ | 227,561,000$ | 179,897,000$ | 120,433,000$ | 73,036,000$ | 73,634,000$ | 74,723,000$ | 41,490,000$ | 28,025,000$ | 24,776,000$ | ||||||||||||||||
| Investing Cash Flow | 3,453,209,000$ | 3,617,537,000$ | 3,195,019,000$ | 1,261,776,000$ | 3,766,356,000$ | 3,568,813,000$ | 1,869,592,000$ | 1,913,024,000$ | 1,646,729,000$ | 3,888,462,000$ | 2,538,421,000$ | 1,778,970,000$ | 335,101,000$ | (13,498,292,000$) | (14,233,342,000$) | (2,979,802,000$) | (22,883,196,000$) | (13,453,098,000$) | (3,070,303,000$) | (1,232,561,000$) | (2,670,630,000$) | (440,415,000$) | (691,408,000$) | (4,242,095,000$) | (6,802,308,000$) | (6,383,152,000$) | (3,946,047,000$) | (863,490,000$) | (1,628,164,000$) | (2,893,955,000$) | (2,180,146,000$) | (1,420,413,000$) | (1,107,263,000$) | ||||||||||||||||
| Purchases of Property and Equipment | |||||||||||||||||||||||||||||||||||||||||||||||||
| Financing Cash Flow | (4,094,890,000$) | (4,599,473,000$) | (3,891,075,000$) | (1,663,315,000$) | (3,944,865,000$) | (4,135,589,000$) | (3,413,378,000$) | (1,628,093,000$) | (2,188,612,000$) | (4,504,114,000$) | (4,011,024,000$) | (1,410,742,000$) | (1,807,520,000$) | 11,502,169,000$ | 11,260,238,000$ | 5,544,561,000$ | 22,077,807,000$ | 12,641,852,000$ | 4,668,361,000$ | 1,840,966,000$ | 2,764,111,000$ | 181,462,000$ | (548,625,000$) | 4,610,517,000$ | 6,861,884,000$ | 6,397,990,000$ | 3,812,588,000$ | 1,124,697,000$ | 1,562,246,000$ | 2,882,085,000$ | 2,214,595,000$ | 1,413,416,000$ | 1,095,031,000$ | ||||||||||||||||
| End Cash Position | 1,605,053,000$ | 1,640,838,000$ | 2,065,595,000$ | 1,933,723,000$ | 1,933,084,000$ | 1,477,491,000$ | 1,629,851,000$ | 2,668,894,000$ | 1,945,260,000$ | 1,931,616,000$ | 1,866,185,000$ | 2,368,212,000$ | 1,281,292,000$ | 1,676,732,000$ | 2,294,725,000$ | 3,824,779,000$ | 989,674,000$ | 1,560,719,000$ | 1,680,991,000$ | 574,130,000$ | 333,388,000$ | 240,022,000$ | 263,067,000$ | 738,553,000$ | 204,269,000$ | 155,674,000$ | 150,062,000$ | 152,756,000$ | 68,089,000$ | 75,529,000$ | 56,456,000$ | 51,034,000$ | 31,166,000$ | 30,820,000$ | 31,296,000$ | 185,749,000$ | 200,000$ | 200,000$ | 200,000$ | 200,000$ | |||||||||
| Exchange Rate Effect | (816,000$) | (12,370,000$) | 15,174,000$ | 1,620,000$ | (2,139,000$) | 2,358,000$ | (638,000$) | (892,000$) | (1,315,000$) | (2,706,000$) | 23,000$ | (53,000$) | (5,349,000$) | (4,135,000$) | (4,451,000$) | (1,944,000$) | 210,000$ | ||||||||||||||||||||||||||||||||
| Dividends Paid | 283,603,000$ | 285,615,000$ | 284,361,000$ | 292,590,000$ | 297,399,000$ | 303,914,000$ | 316,376,000$ | 330,172,000$ | 344,821,000$ | 368,960,000$ | 378,575,000$ | 365,054,000$ | 323,645,000$ | 326,232,000$ | 319,100,000$ | 280,278,000$ | 237,074,000$ | 195,077,000$ | 151,910,000$ | 127,578,000$ | 119,157,000$ | 112,066,000$ | 108,236,000$ | 81,486,000$ | 59,010,000$ | 40,718,000$ | 30,168,000$ | 23,773,000$ | 20,694,000$ | 16,299,000$ | 12,697,000$ | 9,079,000$ | 6,814,000$ | 4,286,000$ | 0$ | 0$ | |||||||||||||
| Unlevered Free Cash Flow | 564,142,000$ | 540,030,000$ | 609,123,000$ | 572,454,000$ | 454,610,000$ | 480,398,000$ | 653,829,000$ | 498,488,000$ | 570,705,000$ | 629,734,000$ | 940,203,000$ | 565,847,000$ | 530,697,000$ | 847,684,000$ | 727,473,000$ | 622,823,000$ | 592,672,000$ | 517,171,000$ | 381,606,000$ | 291,636,000$ | 242,453,000$ | 244,656,000$ | 275,756,000$ | 209,039,000$ | 227,561,000$ | 179,897,000$ | 120,433,000$ | 73,036,000$ | 73,634,000$ | 74,723,000$ | 41,490,000$ | 28,025,000$ | 24,776,000$ | ||||||||||||||||