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      "text": "Summary of Non-MTM Financing Growth Since June 30, 2021. Total Added Since Beginning of 3Q'21: $4,111M. Composed of Term Lending Agreements ($1,350M), Asset Specific Financings ($491M), Corporate Revolver ($275M), Secured Term Loan ($52M), and Collateralized Loan Obligations ($1,943M).",
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      "text": "Creating a diversified liability structure built on non-mark-to-market financing has been a top priority",
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      "text": "(1) In 3Q'21, KREF entered into a new $500.0M term lending agreement. The agreement was upsized by $250.0M in 1Q'22 and again by $250.0M in 3Q'22\n(2) In 1Q'22 and 2Q'22, KREF increased the borrowing capacity on the corporate revolving credit facility by $185.0M and $90.0M, respectively, to $610.0M and extended the maturity by 5 years to March 2027\n(3) In 4Q'21, KREF completed repricing of $297.8M existing secured term loan and a $52.2M add-on, for an aggregate principal amount of $350.0M at December 31, 2021, which was issued at par",
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      "text": "Focused on Growing Non-MTM Financing Capacity",
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