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Investor Presentaiton

KÍTE REALTY GROUP (In millions) 165 150 135 120 105 90 90 KRG LISTED NYSE SCHEDULE OF DEBT MATURITIES SCHEDULE OF DEBT MATURITIES 75 54.3 135.0 66.4 60 60 107.6 125 25 45 30 50 39.6 15 31.3 13.6 2013 2014 54.2 2015 2016 2017 Mortgage Debt Unconsolidated Construction 7.0 2018 9.8 2019 2020 (1) Chart excludes annual principal payments and net premiums on fixed rate debt. (2) The Company transferred Kedron Village to the lender in full satisfaction of the related debt ($29.2mm) still included in 2017 scheduled debt maturities. KITE REALTY GROUP ■Line of Credit Term Loan 103.5 2021+ 32 32
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