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Investor Presentaiton

Outstanding Debt ($ in thousands) Unsecured Notes due 2024 Principal Amount Outstanding 1 Carrying Value Cost of Debt Maturity $ 64,370 $ 63,883 6.50% Mar-24 Unsecured Notes due 2026 $ 44,791 $ 43,955 6.25% Apr-26 " Unsecured Notes due 2028 $ 80,500 $ 78,249 5.50% Jul-28 Total Debt $ 189,661 $186,087 Total Equity Debt to Equity $ 166,548 1.14x Note: Certain figures may not foot or tie to financial statements due to rounding. As of 9/30/2022. 1. 10 10 OXSQ
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