[
  {
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    "page": 3,
    "table_id": "LADR_Q126_10Q-p3-t1",
    "title": "FORM 10-Q",
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    "col": 0,
    "text": "Item 2. Management's Discussion and Analysis of Financial Condition and Results of Operations",
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    "page": 7,
    "table_id": "LADR_Q126_10Q-p7-t1",
    "title": "Index to Consolidated Financial Statements (Unaudited)",
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    "col": 1,
    "text": "Page",
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 8,
    "table_id": "LADR_Q126_10Q-p8-t1",
    "title": "Ladder Capital Corp Consolidated Balance Sheets",
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    "text": "Total shareholders' equity",
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    "table_id": "LADR_Q126_10Q-p9-t1",
    "title": "Ladder Capital Corp Consolidated Statements of Income",
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    "text": "Item",
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 10,
    "table_id": "LADR_Q126_10Q-p10-t1",
    "title": "Ladder Capital Corp",
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    "col": null,
    "text": "(Unaudited)",
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 14,
    "table_id": "LADR_Q126_10Q-p14-t2",
    "title": "The following table provides a reconciliation of cash, cash equivalents and restricted cash reported within the consolidated balance sheets that sum to the total of the same such amounts shown in the consolidated statement of cash flows",
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    "col": 0,
    "text": "Item",
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 19,
    "table_id": "LADR_Q126_10Q-p19-t1",
    "title": "3. MORTGAGE LOAN RECEIVABLES",
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    "col": 0,
    "text": "Description",
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  },
  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 19,
    "table_id": "LADR_Q126_10Q-p19-t2",
    "title": "December 31, 2025",
    "row": 0,
    "col": 0,
    "text": "Description",
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  },
  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 23,
    "table_id": "LADR_Q126_10Q-p23-t2",
    "title": "December 31, 2025",
    "row": null,
    "col": null,
    "text": "Weighted Average",
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    "note": null
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 25,
    "table_id": "LADR_Q126_10Q-p25-t3",
    "title": "The Company's intangible assets are comprised of in-place leases, above market leases and other intangibles. The following tables present additional detail related to the intangible assets",
    "row": 0,
    "col": 0,
    "text": "Item",
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  },
  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 25,
    "table_id": "LADR_Q126_10Q-p25-t4",
    "title": "The following table presents increases/reductions in operating lease income related to the amortization of above or below market leases recorded by the Company",
    "row": 0,
    "col": 0,
    "text": "Description",
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    "note": "The image shows no printed header text above the leftmost column of the table; the first column contains row labels describing lease intangible adjustments."
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 34,
    "table_id": "LADR_Q126_10Q-p34-t1",
    "title": "Stock repurchase activity for three months ended March 31, 2026 (Shares and Amount)",
    "row": null,
    "col": null,
    "text": "thousands):",
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    "note": null
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 36,
    "table_id": "LADR_Q126_10Q-p36-t3",
    "title": "12. STOCK-BASED AND OTHER COMPENSATION PLANS",
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  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 36,
    "table_id": "LADR_Q126_10Q-p36-t3",
    "title": "12. STOCK-BASED AND OTHER COMPENSATION PLANS",
    "row": null,
    "col": null,
    "text": "plans ($ in thousands):",
    "status": "header_text_dropped",
    "note": null
  },
  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 37,
    "table_id": "LADR_Q126_10Q-p37-t1",
    "title": "A summary of the grants is presented below:",
    "row": null,
    "col": null,
    "text": "2026",
    "status": "header_text_dropped",
    "note": null
  },
  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 37,
    "table_id": "LADR_Q126_10Q-p37-t1",
    "title": "A summary of the grants is presented below:",
    "row": null,
    "col": null,
    "text": "2025",
    "status": "header_text_dropped",
    "note": null
  },
  {
    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 41,
    "table_id": "LADR_Q126_10Q-p41-t1",
    "title": "December 31, 2025",
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    "col": 5,
    "text": "Weighted Average Yield %",
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    "page": 60,
    "table_id": "LADR_Q126_10Q-p60-t1",
    "title": "The following table sets forth information regarding our consolidated results of operations",
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    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 65,
    "table_id": "LADR_Q126_10Q-p65-t1",
    "title": "Borrowings under various financing arrangements",
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    "col": 0,
    "text": "Financing Arrangement",
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    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 65,
    "table_id": "LADR_Q126_10Q-p65-t1",
    "title": "Borrowings under various financing arrangements",
    "row": null,
    "col": null,
    "text": "below ($ in thousands):",
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    "source": ".cache/s3/qubera-docs/rj-docs/LADR_Q126_10Q.pdf",
    "page": 67,
    "table_id": "LADR_Q126_10Q-p67-t1",
    "title": "The following table is a summary of the Company's repurchase activity of its Class A common stock during the three months ended March 31, 2026",
    "row": null,
    "col": null,
    "text": "thousands):",
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    "note": null
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    "page": 73,
    "table_id": "LADR_Q126_10Q-p73-t2",
    "title": "Reconciliation of GAAP Depreciation and Amortization",
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    "title": "TABLE OF CONTENTS",
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    "text": "2.7. Evidence of Debt; Register; Lenders' Books and Records; Notes.",
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    "title": "Debt Ratings with Base Rate Spread, SOFR Spread, RFR Spread, Delayed Draw Term Loans, and Facility Fee Rate",
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    "text": "A- or better by S&P, A- or better by Fitch or A3 or better by Moody's",
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    "title": "Debt Ratings with Base Rate Spread, SOFR Spread, RFR Spread, Delayed Draw Term Loans, and Facility Fee Rate",
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    "title": "Debt Ratings with Base Rate Spread, SOFR Spread, RFR Spread, Delayed Draw Term Loans, and Facility Fee Rate",
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    "title": "Debt Ratings with Base Rate Spread, SOFR Spread, RFR Spread, Delayed Draw Term Loans, and Facility Fee Rate",
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    "title": "Debt Ratings with Base Rate Spread, SOFR Spread, RFR Spread, Delayed Draw Term Loans, and Facility Fee Rate",
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    "title": "Debt Ratings with Base Rate Spread, SOFR Spread, RFR Spread, Delayed Draw Term Loans, and Facility Fee Rate",
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