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    "text": "Management's Discussion and Analysis of Financial Condition and Results of Operations",
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    "table_id": "fad5c027948b9d0e-p5-t1",
    "title": "TPG RE Finance Trust, Inc.",
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    "text": "Line Item",
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  {
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    "table_id": "fad5c027948b9d0e-p20-t1",
    "title": "The following table details overall statistics for the Company's loans held for investment portfolio (dollars in thousands):",
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    "text": "Item",
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    "title": "The following table details overall statistics for the Company's loans held for investment portfolio (dollars in thousands):",
    "row": null,
    "col": null,
    "text": "_______________________",
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    "title": "Loans Held for Investment Portfolio by Origination Year and Risk Rating",
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    "col": null,
    "text": "Amortized cost by origination year",
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    "page": 24,
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    "title": "Allowance for credit losses for loans held for investment",
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    "col": 2,
    "text": "December 31, 2025 Specific reserve",
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    "note": "The image shows 'Specific reserve' printed as a column header in the second table (December 31, 2025 section), but not the full phrase 'December 31, 2025 Specific reserve' \u2014 the date appears only once at the top of the table section."
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    "page": 24,
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    "title": "Allowance for credit losses for loans held for investment",
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    "text": "December 31, 2025 Total reserve",
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    "note": "The image shows 'Total reserve' printed as a column header in the second table (December 31, 2025 section), but not the full phrase 'December 31, 2025 Total reserve' \u2014 the date appears only once at the top of the table section."
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  {
    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
    "page": 27,
    "table_id": "fad5c027948b9d0e-p27-t1",
    "title": "The following table presents the REO assets and liabilities",
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    "title": "(6) Investment Portfolio Financing Arrangements",
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    "col": null,
    "text": "Outstanding principal balance",
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    "title": "Secured Credit Agreements",
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    "text": "________________________________",
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  {
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    "title": "Secured Credit Agreements",
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    "col": null,
    "text": "_______________________",
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  {
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    "title": "Secured Credit Agreements",
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    "col": null,
    "text": "_______________________",
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    "title": "Asset-specific financing",
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    "col": null,
    "text": "_______________________",
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    "title": "The following table details the Company's asset-specific financing arrangements",
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    "title": "The following table details the Company's asset-specific financing arrangements",
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    "title": "The following table details the Company's asset-specific financing arrangements",
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    "text": "Financing Outstanding principal balance",
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    "note": "The image shows 'Outstanding principal balance' printed as a header under the 'Financing' band."
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    "title": "The following table details the Company's asset-specific financing arrangements",
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  {
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    "title": "The following table details the Company's asset-specific financing arrangements",
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    "title": "The following table details the Company's asset-specific financing arrangements",
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    "text": "Collateral Outstanding principal balance",
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    "title": "The following table details the Company's asset-specific financing arrangements",
    "row": 0,
    "col": 9,
    "text": "Collateral Amortized cost",
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    "note": "The image shows 'Amortized cost' printed as a header under the 'Collateral' band."
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  {
    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
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    "title": "The following table details the Company's asset-specific financing arrangements",
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    "text": "Collateral Wtd. avg. term",
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    "note": "The image shows 'Wtd. avg. term' printed as a header under the 'Collateral' band."
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  {
    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
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    "title": "The following table details the Company's asset-specific financing arrangements",
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    "col": null,
    "text": "_______________________",
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    "page": 40,
    "table_id": "fad5c027948b9d0e-p40-t1",
    "title": "Financial Covenant Compliance",
    "row": 2,
    "col": 1,
    "text": "Minimum cash liquidity of no less than the greater of: $15.0 million; and 5.0% of the Company and Holdco's recourse indebtedness.",
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    "page": 41,
    "table_id": "fad5c027948b9d0e-p41-t1",
    "title": "Fair Value of Financial Assets and Liabilities",
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    "note": "The image shows a table with row labels in the leftmost column (Financial assets, Loans held for investment, Financial liabilities, etc.) but no printed header text above this column."
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    "title": "Category",
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    "text": "thousands):",
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    "page": 55,
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    "title": "The following table sets forth the calculation of basic and diluted net income attributable to common stockholders per share and dividends declared per share",
    "row": 0,
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    "page": 55,
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    "title": "The following table sets forth the calculation of basic and diluted net income attributable to common stockholders per share and dividends declared per share",
    "row": null,
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    "text": "Three Months Ended,",
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    "page": 57,
    "table_id": "fad5c027948b9d0e-p57-t1",
    "title": "Loans Held for Investment Portfolio Activity",
    "row": null,
    "col": null,
    "text": "_______________________________",
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    "title": "Loans Held for Investment Portfolio Statistics",
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    "text": "_________________________________",
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    "title": "Real Estate Owned",
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    "text": "thousands):",
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    "page": 60,
    "table_id": "fad5c027948b9d0e-p60-t1",
    "title": "The following table allocates the amortized cost basis of our loans held for investment portfolio based on our internal risk ratings",
    "row": null,
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    "text": "June 30, 2026",
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    "title": "The following table allocates the amortized cost basis of our loans held for investment portfolio based on our internal risk ratings",
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    "text": "December 31, 2025",
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    "title": "Asset-Specific Financing Arrangements",
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    "note": "The image shows 'Count' printed as a column header under the 'Financing' band."
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    "title": "Asset-Specific Financing Arrangements",
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    "title": "Asset-Specific Financing Arrangements",
    "row": 0,
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    "text": "Collateral Amortized cost",
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    "title": "Asset-Specific Financing Arrangements",
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    "text": "_______________________",
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    "title": "Corporate Financing Arrangements",
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    "col": null,
    "text": "purposes.",
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    "table_id": "fad5c027948b9d0e-p68-t1",
    "title": "Net floating rate exposure",
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    "page": 69,
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    "title": "Interest-Earning Assets and Interest-Bearing Liabilities",
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    "text": "Three Months Ended",
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    "title": "Average Balance, Interest Income/Expense, and Weighted Average Yields",
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    "text": "Six Months Ended",
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    "title": "Operating Results",
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    "title": "Contractual Obligations and Commitments",
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    "title": "Contractual Obligations and Commitments",
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    "page": 83,
    "table_id": "fad5c027948b9d0e-p83-t1",
    "title": "Loan Portfolio",
    "row": 0,
    "col": 0,
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    "note": "The image shows 'Loan' printed as a header in the first column."
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    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
    "page": 94,
    "table_id": "fad5c027948b9d0e-p94-t1",
    "title": "Item 6. Exhibits",
    "row": 1,
    "col": 1,
    "text": "Articles of Amendment and Restatement of TPG RE Finance Trust, Inc. (incorporated by reference to Exhibit 3.1 to the Company's Current Report on Form 8-K (001-38156) filed on July 25, 2017)",
    "status": "unverified",
    "note": "The image shows printed text describing Articles of Amendment and Restatement of TPG RE Finance Trust, Inc. with incorporation details."
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    "page": 94,
    "table_id": "fad5c027948b9d0e-p94-t1",
    "title": "Item 6. Exhibits",
    "row": 2,
    "col": 1,
    "text": "Second Amended and Restated Bylaws of TPG RE Finance Trust, Inc. (incorporated by reference to Exhibit 3.2 to the Company's Annual Report on Form 10-K for the fiscal year ended December 31, 2019 (001-38156) filed on February 19, 2020)",
    "status": "unverified",
    "note": "The image shows printed text describing Second Amended and Restated Bylaws of TPG RE Finance Trust, Inc. with incorporation details."
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    "table_id": "fad5c027948b9d0e-p94-t1",
    "title": "Item 6. Exhibits",
    "row": 3,
    "col": 1,
    "text": "Articles Supplementary of 11.0% Series B Cumulative Redeemable Preferred Stock of TPG RE Finance Trust Inc. (incorporated by reference to Exhibit 3.1 to the Company's Current Report on Form 8-K (001-38156) filed on May 29, 2020)",
    "status": "unverified",
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  },
  {
    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
    "page": 94,
    "table_id": "fad5c027948b9d0e-p94-t1",
    "title": "Item 6. Exhibits",
    "row": 4,
    "col": 1,
    "text": "Articles Supplementary of 6.25% Series C Cumulative Redeemable Preferred Stock of TPG RE Finance Trust Inc. (incorporated by reference to Exhibit 3.4 to the Company's Registration Statement on Form 8-A (001-38156) filed on June 10, 2021)",
    "status": "unverified",
    "note": "The image shows printed text describing Articles Supplementary of 6.25% Series C Cumulative Redeemable Preferred Stock with incorporation details."
  },
  {
    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
    "page": 94,
    "table_id": "fad5c027948b9d0e-p94-t1",
    "title": "Item 6. Exhibits",
    "row": 5,
    "col": 1,
    "text": "Articles Supplementary reclassifying and designating 7,000,000 authorized but unissued shares of the Company's 11% Series B Cumulative Redeemable Preferred Stock, $0.001 par value per share, as additional shares of undesignated preferred stock, $0.001 par value per share, of the Company (incorporated by reference to Exhibit 3.1 to the Company's Current Report on Form 8-K (001-38156) filed on June 24, 2021)",
    "status": "unverified",
    "note": "The image shows printed text describing Articles Supplementary reclassifying and designating 7,000,000 authorized but unissued shares with incorporation details."
  },
  {
    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
    "page": 94,
    "table_id": "fad5c027948b9d0e-p94-t1",
    "title": "Item 6. Exhibits",
    "row": 6,
    "col": 1,
    "text": "Specimen Common Stock Certificate of TPG RE Finance Trust, Inc. (incorporated by reference to Exhibit 4.1 to the Company's Registration Statement on Form S-11/A (333-217446) filed on June 21, 2017)",
    "status": "unverified",
    "note": "The image shows printed text describing Specimen Common Stock Certificate of TPG RE Finance Trust, Inc. with incorporation details."
  },
  {
    "source": "data/playground/uploads/fad5c027948b9d0e.pdf",
    "page": 94,
    "table_id": "fad5c027948b9d0e-p94-t1",
    "title": "Item 6. Exhibits",
    "row": 7,
    "col": 1,
    "text": "Credit Agreement, dated as of May 14, 2026, by and among TPG RE Finance Trust, Inc., Wells Fargo Bank, N.A., and certain other lenders and issuing banks named therein (incorporated by reference to Exhibit 10.1 to the Company's Current Report on Form 8-K (001-38156) filed on May 15, 2026)",
    "status": "unverified",
    "note": "The image shows printed text describing Credit Agreement dated May 14, 2026 with incorporation details."
  }
]