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 "markdown": "<a id='a64052f4-055d-4067-bf07-d3de4cbf88b4'></a>\n\nTable of Contents\n\n<a id='378e3b34-5e2f-4470-b341-30337956cf7a'></a>\n\nThe following charts show the par value by contractual maturity year for the commercial mortgage loans, held for investment in our portfolio as of June 30, 2026 and December 31, 2025:\n\n<a id='eb3dbb71-5a61-4e42-9030-f6bf50c1e4b9'></a>\n\n<::Investment Par by Maturity Year as of June 30, 2026\n: bar chart\nY-axis: Maturity Year\n  2026: 1,100 $ in Millions\n  2027: 2,200 $ in Millions\n  2028: 720 $ in Millions\n  2029: 250 $ in Millions\n  2030: 0 $ in Millions\n  2031: 50 $ in Millions\n  2032: 0 $ in Millions\nX-axis: $ in Millions\n::>\n\n<a id='c07d5606-ffa3-45a5-bd01-a8c7dc4dcf05'></a>\n\n<::horizontal bar chart\nTitle: Investment Par by Maturity Year as of December 31, 2025\nX-axis: $ in Millions\nY-axis: Maturity Year\nData:\n- 2026: 2,350\n- 2027: 1,550\n- 2028: 450\n- 2029: 75\n- 2030: 0\n: chart::>\n\n<a id='f97a5415-75b9-4209-bae5-ebb0fc19a18f'></a>\n\n67",
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