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KKR Real Estate Finance Trust Inc. KREF

Listed / Traded Mortgage NYSE Mgmt:

KKR Real Estate Finance Trust Inc. (NYSE: KREF) is a real estate investment trust that primarily originates or acquires transitional senior loans collateralized by institutional-quality commercial real estate assets that are owned and operated by experienced and well-capitalized sponsors and located in liquid markets with strong underlying fundamentals. The Company's target assets also include mezzanine loans, preferred equity and other debt-oriented instruments with these characteristics. The Company is externally managed and advised by KKR Real Estate Finance Manager LLC, a registered investment adviser and an indirect subsidiary of KKR & Co. Inc., a leading global alternative investment firm with a nearly 50-year history of leadership, innovation and investment excellence and $743.9 billion of assets under management as of December 31, 2025.

Snapshot

Price
$6.80
Market cap
$437.24M
Enterprise value
$4.80B
Dividend yieldi
5.88%
Annual dividendi
$0.40
Frequency
Quarterly
FFO / sharei
Not reported (common for mortgage REITs)
Distributable Earnings / sharei
$-0.06 · Q1 2026
Net debt / EBITDAi
20.67x · GAAP est.
Op. cash flow / sharei
$1.08
Price / OCFi
6.28
Payout (% of OCF)i
36.97%
Debt / book capitali
80.42%
Premium / disc. to NAVi
No free consensus-NAV source
Credit ratingi
No free ratings feed

Reported FFO / Distributable Earnings / leverage are from the Q1 2026 earnings release (filed 2026-04-22) — 8-K, EX-99.1.

Yield uses the latest declared dividend, annualized (latest regular payout × frequency; special/liquidating distributions excluded) — an announced-but-not-yet-declared change isn't reflected until it has an ex-date. FFO, AFFO and Net debt / Adj. EBITDA are the company's reported figures from its latest earnings 8-K. Price/OCF and payout use GAAP operating cash flow. NAV premium and credit ratings have no free source yet. See Methodology.

Balance sheet (latest FY: 2025)

Total debt
$4.69B
Cash
$84.62M
Net debt / EBITDAi
20.67x
Debt / book capitali
80.42%
Total assets
$6.46B
Total equity
$1.17B
Sponsored
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Debt-maturity ladder, fixed/floating split, secured/unsecured and coverage ratios come from the supplemental — not yet ingested.

Financial history

FYRevenueNet incomeD&A EBITDAOp. cash flow
2025 $457.96M $-47.05M $2.60M $274.92M $72.28M
2024 $592.62M $35.59M $983.00K $448.47M $132.56M
2023 $660.19M $-30.85M $0.00 $427.86M $155.72M
2022 $436.51M $38.10M $0.00 $273.75M $141.12M
2021 $285.76M $137.18M $0.00 $252.31M $124.79M
2020 $269.93M $54.40M $0.00 $182.12M $115.06M

Dividends

Ex-dateRecordPaymentDeclaredAmountFreq.
2026-06-302026-06-302026-07-15 2026-04-22$0.10Quarterly
2026-03-312026-03-312026-04-15 2026-03-11$0.25Quarterly
2025-12-312025-12-312026-01-15 2025-12-10$0.25Quarterly
2025-09-302025-09-302025-10-15 2025-09-11$0.25Quarterly
2025-06-302025-06-302025-07-15 2025-06-10$0.25Quarterly
2025-03-312025-03-312025-04-15 2025-03-14$0.25Quarterly
2024-12-312024-12-312025-01-15 2024-12-12$0.25Quarterly
2024-09-302024-09-302024-10-15 2024-09-13$0.25Quarterly
2024-06-282024-06-282024-07-15 2024-06-13$0.25Quarterly
2024-03-272024-03-282024-04-15 2024-02-01$0.25Quarterly
2023-12-282023-12-292024-01-12 2023-12-15$0.43Quarterly
2023-09-282023-09-292023-10-13 2023-09-15$0.43Quarterly
2023-06-292023-06-302023-07-14 2023-06-15$0.43Quarterly
2023-03-302023-03-312023-04-14 2023-03-17$0.43Quarterly
2022-12-292022-12-302023-01-13 2022-12-13$0.43Quarterly
2022-09-292022-09-302022-10-14 2022-09-13$0.43Quarterly
2022-06-292022-06-302022-07-15 2022-06-15$0.43Quarterly
2022-03-302022-03-312022-04-15 2022-03-15$0.43Quarterly
2021-12-302021-12-312022-01-14 2021-12-14$0.43Quarterly
2021-09-292021-09-302021-10-15 2021-09-15$0.43Quarterly
2021-06-292021-06-302021-07-15 2021-06-15$0.43Quarterly
2021-03-302021-03-312021-04-15 2021-03-15$0.43Quarterly
2020-12-302020-12-312021-01-15 2020-12-15$0.43Quarterly
2020-09-292020-09-302020-10-15 2020-09-15$0.43Quarterly

Coverage (payout of operating cash flow): 36.97%. Tax-character split (ordinary / 199A / capital gain / return of capital) — not disclosed (requires the annual allocation release).

Same-store NOI, occupancy, leasing/WALT, top tenants, external-manager fees, development pipeline and (for non-traded vehicles) share-class fees, redemption/gating and NAV methodology are planned modules sourced from supplementals and prospectuses.