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  "documentTitle": "KKR Real Estate Finance Trust | Results Presentation Deck | 27 slides",
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      "text": "Originations: $1.5B total with $1.1B initial funding; $333.3M post-quarter.",
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      "text": "Liquidity & Capitalization: $1.3B CLO, $500M term loan, $516.2M liquidity, 81% non-mark-to-market.",
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      "text": "Portfolio: $5.8B portfolio, 71% multifamily/office, 3.0 risk rating, 97.4% interest collection, $934.9M repayments.",
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      "text": "Financials: 3Q Net income of $0.57/share, Distributable Earnings of $0.62/share, 144% dividend coverage, $6.4M loan fee benefit, BVPS accretion to $19.09.",
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      "text": "Third Quarter 2021 Highlights",
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