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USE OF SPECIAL PURPOSE ENTITIES AND VARIABLE INTEREST ENTITIES - Summary of Loan and Borrowing Characteristics (Details)
9 Months Ended 12 Months Ended
Sep. 30, 2025
USD ($)
instrument
mortgageLoan
rEOAsset
contract
Dec. 31, 2024
USD ($)
mortgageLoan
contract
instrument
Variable Interest Entity [Line Items]    
Collateralized loan obligations and secured financings [1] $ 669,775,299 $ 828,390,189
Allowance for credit loss [1] $ 14,020,408 $ 11,320,220
One month SOFR rate ( as a percent) 4.22% 4.51%
Weighted average LIBOR floor rate (as a percent) 1.37% 0.63%
SOFR spread rate (as a percent) 3.55% 3.53%
Basis spread on one-month LIBOR (percent) 2.30% 2.26%
30-Day SOFR    
Variable Interest Entity [Line Items]    
30-day SOFR rate 0.0415 0.0440
Commercial Real Estate Portfolio Segment    
Variable Interest Entity [Line Items]    
Collateral (loan investments) (Count) | mortgageLoan 51 65
Collateral (loan investments) $ 835,863,888 $ 1,060,123,298
Net of purchase discounts $ 1,928,239 $ 3,466,214
2021-FL1 CLO and LMF 2023-1    
Variable Interest Entity [Line Items]    
Financings provided, (Count) | instrument 2 2
Collateralized loan obligations and secured financings $ 669,775,299 $ 828,390,189
Allowance for credit loss $ 14,015,792 $ 11,320,220
2021-FL1 CLO and LMF 2023-1 | Secured Overnight Financing Rate (SOFR)    
Variable Interest Entity [Line Items]    
Weighted average yield (percent) 7.77% 8.08%
Weighted average yield (percent) 6.45% 6.66%
2021-FL1 CLO and LMF 2023-1 | Commercial Real Estate Portfolio Segment    
Variable Interest Entity [Line Items]    
Collateral (loan investments) (Count) | contract 49 65
Collateral (REO assets) (Count) | rEOAsset 2  
Principal Value | 2021-FL1 CLO and LMF 2023-1    
Variable Interest Entity [Line Items]    
Collateral (loan investments) $ 836,144,479 $ 1,065,563,646
Collateral (REO assets) 62,580,330  
Collateralized loan obligations and secured financings 671,323,586 830,698,696
Principal Value | LFT CRE 2021-FL1, Ltd.    
Variable Interest Entity [Line Items]    
Net of purchase discounts   3,466,214
Carrying Value | 2021-FL1 CLO and LMF 2023-1    
Variable Interest Entity [Line Items]    
Collateral (loan investments) 819,117,267 1,049,886,009
Collateral (REO assets) 58,130,142  
Collateralized loan obligations and secured financings 669,775,299 828,390,189
Carrying Value | LMF 2023-1 Financing    
Variable Interest Entity [Line Items]    
Debt issuance costs $ 1,548,287 $ 2,308,507
[1] Our consolidated balance sheets include assets and liabilities of consolidated variable interest entities ("VIEs") as the Company was the primary beneficiary of these VIEs. As of September 30, 2025 and December 31, 2024, assets of consolidated VIEs totaled $894,395,215 and $1,058,138,406, respectively and the liabilities of consolidated VIEs totaled $672,585,820 and $831,001,605 respectively. See Note 4 for further discussion.