KKR Real Estate Finance Trust Inc.KREF

時価総額
$5.7億
PER
商業用不動産ローンを中心とするREITの大手。シニアローンやCMBS投資を展開。KKRが14.6%出資(2024年12月31日)。借入残高は約49.1億ドルで米国中心に展開。
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents1038768111271240136105
Commercial real estate loans, held-for-investment---4,8456,3177,4947,3445,889
Less: Allowance for credit losses---6022107211117
Commercial real estate loans, held-for-investment, net---4,7856,2947,3877,1335,772
Other Real Estate-------262
Real Estate, Held-for-Sale------10157
Real Estate Asset-------82
CMBS B-Pieces-------36
Interest Receivable816161515394129
Other assets74521819199
Total Assets7,3955,2325,0574,9666,7037,8027,5486,350
Long-Term Line of Credit---2,5753,7273,7493,7822,799
Collateralized loan obligations, net-8008038101,0881,9361,9421,766
Secured Debt9651,9512,885288339337335334
Interest Payable28757182020
Dividends payable2025252427303017
Real estate owned liabilities, held for sale------161
Total Liabilities6,3324,0973,9333,9205,3426,2316,1434,952
Common Stock, Value, Issued11111111
Additional paid-in capital1,0531,1641,1661,1701,4601,8091,8151,715
Accumulated deficit6-0-9-66-38-142-314-370
Repurchased stock (5,985,696 shares repurchased as of December 31, 2023)------97-
Total KKR Real Estate Finance Trust Inc. Stockholders’ Equity1,0591,1321,1221,0441,3621,5721,4051,399
Equity, Attributable to Noncontrolling Interest----0-0-154
Total Equity1,0591,1321,1221,0441,3621,5711,4041,399
Total Liabilities and Equity7,3955,2325,0574,9666,7037,8027,5486,350