v3.25.2
Loan Receivables Held for Investment
6 Months Ended
Jun. 30, 2025
Loans and Leases Receivable Disclosure [Abstract]  
Loan Receivables Held for Investment
4.
Loan Receivables Held for Investment

The following table summarizes the Company’s investments in loan receivables held for investment as of June 30, 2025 (in ‘000s):

 

Investment
(in '000s)

 

Investment
Type

 

Loan Type

 

Origination
Date

 

Total
Commitment

 

 

Loan
Balance

 

 

Contractual
Interest Rate

 

Carrying
Value at
June 30,
2025

 

 

Interest
rate at
June 30,
2025
(1)

 

 

Maturity
Date

 

Payment
Terms

Loan 1

 

Loan origination

 

Multifamily

 

12/17/2021

 

$

29,276

 

 

$

29,276

 

 

SOFR + 3.06%

 

$

29,276

 

 

 

7.39

%

 

1/10/2026

 

Interest only

Loan 5

 

Loan origination

 

Office

 

7/14/2022

 

 

55,935

 

 

 

55,935

 

 

SOFR + 4.25%

 

 

55,935

 

 

 

8.57

%

 

8/5/2025

 

Interest only

Loan 6

 

Purchase

 

Hospitality

 

7/7/2022

 

 

27,748

 

 

 

27,748

 

 

SOFR + 4.75%

 

 

27,748

 

 

 

9.07

%

 

7/5/2025

 

Interest only

Loan 7(2)

 

Purchase

 

Mixed Use

 

11/22/2022

 

 

25,224

 

 

 

19,847

 

 

SOFR + 9.05%

 

 

19,847

 

 

 

13.38

%

 

7/10/2024

 

Interest only

Loan 8

 

Loan origination

 

Industrial

 

3/10/2023

 

 

35,800

 

 

 

35,558

 

 

SOFR + 3.50%

 

 

35,467

 

 

 

7.82

%

 

3/10/2026

 

Interest only

Loan 9

 

Purchase

 

Student Housing

 

3/31/2023

 

 

121,870

 

 

 

121,870

 

 

SOFR + 2.25%

 

 

121,870

 

 

 

6.57

%

 

8/9/2025

 

Interest only

Loan 11

 

Loan origination

 

Mixed Use

 

11/2/2023

 

 

146,000

 

 

 

136,440

 

 

SOFR + 5.50%

 

 

136,159

 

 

 

9.82

%

 

11/10/2025

 

Interest only

Loan 12

 

Loan origination

 

Hospitality

 

5/7/2024

 

 

30,000

 

 

 

30,000

 

 

SOFR + 4.00%

 

 

29,805

 

 

 

8.32

%

 

5/10/2027

 

Interest only

Loan 14

 

Loan origination

 

Multifamily

 

6/11/2024

 

 

100,000

 

 

 

100,000

 

 

SOFR + 3.75%

 

 

99,337

 

 

 

8.07

%

 

7/10/2027

 

Interest only

Loan 15

 

Loan origination

 

Office

 

12/17/2024

 

 

58,773

 

 

 

58,721

 

 

SOFR + 4.50%

 

 

58,265

 

 

 

8.82

%

 

1/9/2027

 

Interest only

Loan 16

 

Loan origination

 

Multifamily

 

2/11/2025

 

 

65,155

 

 

 

61,425

 

 

SOFR + 2.35%

 

 

60,850

 

 

 

6.67

%

 

3/9/2027

 

Interest only

Loan 17

 

Loan origination

 

Multifamily

 

2/11/2025

 

 

79,650

 

 

 

67,275

 

 

SOFR + 2.45%

 

 

66,573

 

 

 

6.77

%

 

3/9/2027

 

Interest only

Loan 18

 

Loan origination

 

Multifamily

 

3/26/2025

 

 

81,900

 

 

 

75,739

 

 

SOFR + 2.35%

 

 

74,976

 

 

 

6.67

%

 

4/9/2028

 

Interest only

Loan 19

 

Loan origination

 

Office

 

6/5/2025

 

 

49,300

 

 

 

35,167

 

 

SOFR + 4.15%

 

 

34,685

 

 

 

8.46

%

 

6/9/2028

 

Interest only

Loan 20

 

Loan origination

 

Industrial

 

6/30/2025

 

 

123,000

 

 

 

120,000

 

 

SOFR + 2.10%

 

 

118,772

 

 

 

6.43

%

 

7/9/2027

 

Interest only

Total

 

 

 

 

 

 

 

$

1,029,631

 

 

$

975,001

 

 

 

 

$

969,565

 

 

 

 

 

 

 

 

 

(1) The loan receivables held for investment are floating rate loans and are presented with the contractual rate based on SOFR or the applicable SOFR floor plus the applicable spread as of June 30, 2025.

(2) Loan 7 matured in July 2024 and has not been repaid. As of October 2024 the Company changed this loan to non-accrual status. The Company has written off accrued interest based upon management's view of collectability of interest contractually owed after that date. As of June 30, 2025, this loan is collateral dependent as foreclosure on the collateralized property is possible. The loan is collateralized by a mixed used space in California.

 

The following table summarizes the Company’s investments in loan receivables held for investment as of December 31, 2024 (in ‘000s):

 

Investment

 

Investment
Type

 

Loan
Type

 

Origination
Date

 

Total
Commitment

 

 

Loan
Balance

 

 

Contractual
Interest Rate

 

Carrying
Value at
December 31,
2024

 

 

Interest
rate at
December 31,
2024
(1)

 

 

Maturity
Date

 

Payment
Terms

Loan 1

 

Loan origination

 

Multifamily

 

12/17/2021

 

$

29,276

 

 

$

29,276

 

 

SOFR + 3.06%

 

$

29,276

 

 

 

7.54

%

 

1/10/2026

 

Interest only

Loan 3

 

Loan origination

 

Hospitality

 

2/14/2022

 

 

42,750

 

 

 

41,000

 

 

SOFR + 6.50%

 

 

40,971

 

 

 

10.98

%

 

3/10/2025

 

Interest only

Loan 5

 

Loan origination

 

Office

 

7/14/2022

 

 

55,935

 

 

 

55,935

 

 

SOFR + 4.25%

 

 

55,935

 

 

 

8.78

%

 

8/5/2025

 

Interest only

Loan 6

 

Purchase

 

Hospitality

 

7/7/2022

 

 

27,748

 

 

 

27,748

 

 

SOFR + 4.75%

 

 

27,715

 

 

 

9.23

%

 

7/5/2025

 

Interest only

Loan 7

 

Purchase

 

Mixed Use

 

11/22/2022

 

 

25,224

 

 

 

19,625

 

 

SOFR + 9.05%

 

 

19,625

 

 

 

13.53

%

 

7/10/2024

 

Interest only

Loan 8

 

Loan origination

 

Industrial

 

3/10/2023

 

 

35,800

 

 

 

34,692

 

 

SOFR + 3.50%

 

 

34,540

 

 

 

7.98

%

 

3/10/2026

 

Interest only

Loan 9

 

Purchase

 

Student Housing

 

3/31/2023

 

 

157,509

 

 

 

157,509

 

 

SOFR + 2.25%

 

 

157,509

 

 

 

6.65

%

 

8/9/2025

 

Interest only

Loan 10

 

Loan origination

 

Multifamily

 

8/31/2023

 

 

86,300

 

 

 

85,000

 

 

SOFR + 2.90%

 

 

84,493

 

 

 

7.38

%

 

9/10/2026

 

Interest only

Loan 11

 

Loan origination

 

Mixed Use

 

11/2/2023

 

 

146,000

 

 

 

132,885

 

 

SOFR + 5.50%

 

 

132,228

 

 

 

9.98

%

 

11/10/2025

 

Interest only

Loan 12

 

Loan origination

 

Hospitality

 

5/7/2024

 

 

30,000

 

 

 

30,000

 

 

SOFR + 4.00%

 

 

29,758

 

 

 

8.48

%

 

5/10/2027

 

Interest only

Loan 13

 

Loan origination

 

Mixed Use

 

5/16/2024

 

 

110,000

 

 

 

100,063

 

 

SOFR + 4.25%

 

 

99,275

 

 

 

8.73

%

 

6/10/2026

 

Interest only

Loan 14

 

Loan origination

 

Multifamily

 

6/11/2024

 

 

100,000

 

 

 

98,770

 

 

SOFR + 3.75%

 

 

97,945

 

 

 

8.23

%

 

7/10/2027

 

Interest only

Loan 15

 

Loan origination

 

Office

 

12/17/2024

 

 

59,412

 

 

 

59,000

 

 

SOFR + 4.50%

 

 

58,417

 

 

 

8.88

%

 

1/9/2027

 

Interest only

Total

 

 

 

 

 

 

 

$

905,954

 

 

$

871,503

 

 

 

 

$

867,687

 

 

 

 

 

 

 

 

 

(1) The loan receivables held for investment are floating rate loans and are presented with the contractual rate based on SOFR or the applicable SOFR floor plus the applicable spread as of December 31, 2024.