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KKR Real Estate Finance Trust KREF Other Europe — Concentration of credit risk (as a percent)

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Other financials

Income statement

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Revenue$4.2M+151%
Net income-$56.1M-1,055%
EPS (diluted)-$0.96-540%

Balance sheet

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Cash & equivalents$137.3M+27.9%
Total debt$4.1B+26.7%
Total equity$1.1B-16.4%
Total assets$7.0B+6.0%

Cash flow

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Operating cash flow$13.1M-17.4%

Valuation

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Market cap$477.11M-21.9%
Enterprise value$4.39B+25.8%
P/S34.8×

Profitability

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Net margin-717.1%

Returns & leverage

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Return on equity-8.2%-10.7pp
Debt / equity3.7×+1.3×

Where this comes from

Reported directly by KKR Real Estate Finance Trust in its filing.

Tagged under the XBRL concept us-gaap:ConcentrationRiskPercentage1.

The official record: KKR Real Estate Finance Trust’s 10-Q, filed April 22, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is KKR Real Estate Finance Trust's other europe — concentration of credit risk (as a percent)?
KKR Real Estate Finance Trust (KREF) reported other europe — concentration of credit risk (as a percent) of 1% in Q1 2026.
How has KKR Real Estate Finance Trust's other europe — concentration of credit risk (as a percent) changed year-over-year?
KKR Real Estate Finance Trust's other europe — concentration of credit risk (as a percent) increased by 263.6% year-over-year, from 0.3% to 1%.
What does other europe — concentration of credit risk (as a percent) mean?
This metric represents the proportion of the total loan portfolio or credit exposure allocated to borrowers or assets located within the 'Other Europe' geographic region. It serves as a measure of geographic diversification and exposure to specific regulatory, economic, and market conditions outside of primary operating territories. Monitoring this concentration helps assess the potential impact of localized macroeconomic volatility on the firm's overall credit risk profile.