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  "docSlug": "15771e120c24081b47b4a20a9812315f",
  "documentTitle": "Ready Capital | Results Presentation Deck | 20 slides",
  "authorId": "ready-capital",
  "authorName": "Ready Capital",
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  "sourceTypeSlug": "investor_relations",
  "sourceTypeLabel": "Investor relations",
  "presentationDate": "2023-05-01 00:00:00",
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      "kind": "chart",
      "text": "CORPORATE DEBT MATURITY PROFILE ($ in millions)\n$800 $600 $400 $200 $0\n$115 $120 $661 $100 $146\n2023 2024 2025 2026 2027 2028 and beyond",
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      "text": "UNENCUMBERED ASSET POOL\n15% 10% 8% 8% $1.1B Total Unencumbered Assets 31% 28%\nUnrestricted cash, Servicing rights, Securities, REO, Loans, Other Assets",
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      "text": "Diversified unencumbered asset pool of $1.1 billion, including $111 million of unrestricted cash\n1.4x unencumbered assets to unsecured debt\n$2.6 billion in available warehouse borrowing capacity across 19 counterparties\nLimited usage of securities repo financing at 4.3% of total debt\nFull mark to market liabilities and credit mark to market liabilities represent 21% of total debt\n90% of corporate debt maturities in 2025 or later",
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      "kind": "title",
      "text": "Financial Flexibility",
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      "evidence": "chart/donut: UNENCUMBERED ASSET POOL 15% 10% 8% 8% $1.1B Total Unencumbered Assets 31% 28% Unrestricted cash, Servicing rights, Securities, REO, Loans, Other Assets",
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      "evidence": "Slides 10-13 provide insights into the loan portfolio composition and its effects",
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