Discontinued — last reported Q1 '24

Geographic · Percentof Our Loan Portfolio

Michigan Two — Percentof Our Loan Portfolio

Chicago Atlantic Real Estate Finance Michigan Two — Percentof Our Loan Portfolio decreased by 5.4% to 3.5% in Q1 2024 compared to the prior quarter.

Analysis

StatementSegment
CategoryRisk
SignalContext dependent
VolatilityModerate
First reportedQ4 2023
Last reportedQ1 2024May 7, 2024

How to read this metric

High concentration increases exposure to specific regional or project risks, while lower concentration indicates broader diversification.

Detailed definition

The relative concentration of the specific segment within the company's total loan portfolio. This measures geographic o...

Peer comparison

Standard 'Portfolio Concentration' metric used by REITs to describe geographic or sector exposure.

Metric ID: refi_segment_michigan_two_percentof_our_loan_portfolio

Historical Data

2 periods
 Q4 '23Q1 '24
Value3.7%3.5%
QoQ Change-5.4%
Range3.5%3.7%

Frequently Asked Questions

What is Chicago Atlantic Real Estate Finance's michigan two — percentof our loan portfolio?
Chicago Atlantic Real Estate Finance (REFI) reported michigan two — percentof our loan portfolio of 3.5% in Q1 2024.
What does michigan two — percentof our loan portfolio mean?
The percentage of the total company loan portfolio represented by this specific segment.