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  "documentTitle": "Office Properties Income Trust | Results Presentation Deck | 32 slides",
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  "authorName": "Office Properties Income Trust",
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  "presentationDate": "2023-10-01 00:00:00",
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      "kind": "chart",
      "text": "Stacked bar chart showing debt maturity by year and type. Years: 2023, 2024, 2025, 2026, 2027, 2028 and thereafter. Debt types: Unsecured Fixed Rate Debt, Unsecured Floating Rate Debt, Secured Fixed Rate Debt.",
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      "kind": "paragraph",
      "text": "As of September 30, 2023\n(dollars in thousands)",
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      "text": "(1) Reflects the interest rate stated in, or determined pursuant to, the contract terms.\n(2) Includes the effect of discounts and premiums on senior unsecured notes. Excludes the effect of debt issuance costs amortization.\n(3) OPI is required to pay interest at a rate of SOFR plus a premium, which was 145 basis points per annum as of September 30, 2023. OPI also pays a facility fee, which was 30 basis points per annum on the total amount of lending commitments under its revolving credit facility as of September 30, 2023. Both the interest rate premium and facility fee are subject to adjustment based upon changes to OPI's credit ratings. The interest rate listed is as of September 30, 2023 and excludes the 30 basis point facility fee.\n(4) Represents the amount outstanding under OPI's revolving credit facility at September 30, 2023.",
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      "text": "Year, Unsecured Floating Rate Debt, Unsecured Fixed Rate Debt, Secured Fixed Rate Debt, Total Debt, % of Total Debt\n2023, $, -, $, -, $, -, $, -%\n2024, 200,000 (4), 350,000, -, 550,000, 21.2%\n2025, -, 650,000, -, 650,000, 25.1%\n2026, -, 300,000, -, 300,000, 11.6%\n2027, -, 350,000, -, 350,000, 13.5%\n2028 and thereafter, -, 562,000, 177,320, 739,320, 28.6%\nTotal principal balance, $, 200,000, $, 2,212,000, $, 177,320, $, 2,589,320, 100.0%\nPercent of total principal balance, 7.7%, 85.4%, 6.9%, 100.0%",
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      "text": "Debt Maturity Schedule",
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