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  "documentTitle": "Ready Capital | Investor Presentation Deck | 38 slides",
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  "authorName": "Ready Capital",
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  "presentationDate": "2022-09-01 00:00:00",
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      "text": "Debt Balance and Leverage Ratio by Type: PPPLF $428 (0.2x), Securitized Debt Obligations $4,534 (2.4x), Non-Recourse Secured Borrowings $1,393 (0.7x), Recourse Secured Borrowing $1,820 (1.0x), Corporate Debt $1,022 (0.5x)",
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      "text": "Recourse Leverage by Reporting Segment: SBC Debt $1,439 (0.5x), SBL Debt $140 (2.0x), Residential Debt $241 (1.7x), Corporate Debt $1,022 (0.5x)",
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      "text": "Recourse leverage ratio of 1.5x\nTotal leverage of 4.9x\nFull market to market liabilities and credit mark to market liabilities represent 17% and 11% of total debt, respectively",
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      "text": "1. Recourse leverage by reporting segment is based on the segment recourse debt balance over invested equity in the segment and excludes guaranteed loan financings",
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      "text": "Debt - Leverage",
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