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  "documentTitle": "KKR Real Estate Finance Trust | Results Presentation Deck | 24 slides",
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  "presentationDate": "2022-07-01 00:00:00",
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      "text": "Liquidity & Capitalization: $54M equity offering, $18M repurchases, $450M new financing, $790M available liquidity.",
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      "text": "Portfolio: $7.9 billion senior loan portfolio, 58% multifamily/industrial, 3.0 risk rating, 100% performing.",
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      "text": "Originations: 11 floating-rate senior loans totaling $1,034 million.",
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      "text": "(1) Represents Net Income attributable to common stockholders (2) See Appendix for definition and reconciliation to financial results prepared in accordance with GAAP",
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      "text": "Second Quarter 2022 Highlights",
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