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  "documentTitle": "Independence Realty Trust | Investor Presentation Deck | 55 slides",
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  "authorName": "Independence Realty Trust",
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  "presentationDate": "2024-09-01 00:00:00",
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      "kind": "paragraph",
      "text": "In August 2024, we priced $150mm of senior unsecured notes with an institutional investor and intend to use the net proceeds primarily to repay secured indebtedness, thereby addressing all of our 2025 debt maturities and increasing our unencumbered asset pool",
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      "text": "Unencumbered Assets / Total Gross Assets\n2Q24 Actual\n55%\n2Q24 Pro Forma\n61%",
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      "text": "Offering Summary\n7 Year\n10 Year\nAmount $75mm $75mm\nCoupon (Fixed Rate) 5.32% 5.53%\nExpected Funding Date October 2024 October 2024\nMaturity Date October 2031 October 2034\nRanking Pari Passu with other unsecured debt\nUse of Net Proceeds Repayment of property level secured mortgage debt - ~$131mm\nRepayment of amounts outstanding under revolving credit facility - ~$19mm",
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      "text": "Unsecured Debt Private Placement (August 2024)",
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