v3.25.2
Collateralized Loan Obligations (Tables)
6 Months Ended
Jun. 30, 2025
Transfers and Servicing [Abstract]  
Schedule of Assets and Associated Liabilities Accounted for as Secured Borrowings
The table below summarizes our collateralized loan obligations as of June 30, 2025.
FacilityCollateral
$ in thousandsTerm
Weighted Average Interest Rate(1)
Amount OutstandingFair ValueCountPrincipal Balance OutstandingFair Value
INCREF 2025-FL1Oct 20426.27%$998,234 $1,001,129 30 $1,217,359 $1,220,104 
Total$998,234 $1,001,129 30$1,217,359 $1,220,104 
(1)    Represents the weighted average interest rate in effect as of June 30, 2025.
Schedule of Variable Interest Entities The following table details the assets and liabilities of our consolidated VIE:
$ in thousandsJune 30, 2025
Assets:
Restricted cash$150 
Commercial real estate loan investments, at fair value1,220,104 
Interest receivable3,918 
Total assets$1,224,172 
Liabilities:
Collateralized loan obligations, at fair value$1,001,129 
Interest payable2,086 
Total liabilities$1,003,215