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  "documentTitle": "KKR Real Estate Finance Trust | Results Presentation Deck | 27 slides",
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  "authorName": "KKR Real Estate Finance Trust",
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  "presentationDate": "2021-07-01 00:00:00",
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  "nDataPoints": 5,
  "notes": "The chart breaks down liquidity into Cash, Undrawn Corporate Revolver, Approved and Undrawn Credit Capacity, and Loan Repayment Receivable.",
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  "slideHref": "/slides/019de511-328f-74fc-a392-ba28163b9f1b/18",
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      "kind": "chart",
      "text": "Sources of Available Liquidity",
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      "text": "(1) Represents under-levered amounts under financing facilities. While these amounts were previously contractually approved and/or drawn, in certain cases, the lender's consent is required for us to (re)borrow these amounts.\n(2) Represents net proceeds from loan repayment held by the servicer as of June 30, 2021. Such amount was remitted to KREF in July.",
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      "beatSlug": "monroes-sequence-satisfaction",
      "evidence": "The presentation provides details on the company's loan portfolio, credit quality, and financing overview",
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