SOFR 1 Month Term+
4.37026% Prime Rate
7.5%
5 Year
Treasury: 4.425% ▲Spread: 0.000%Swap: 4.080% ▲
7 Year
Treasury: 4.512% ▲Spread: 0.000%Swap: 4.063% ▲
10 Year
Treasury: 4.572% ▲Spread: 0.000%Swap: 4.060% ▲
30 Year
Treasury: 4.748% ▲Spread: 0.000%Swap: 3.877% ▲
ADAM SIPER
Head of Origination
(212) 715-3162 or
adam.siper@laddercapital.com
Bridge Lending | Conduit Lending | |
---|---|---|
Loan Amount | $10MM –> $275MM+ | $5MM –> $450MM+ |
Loan Term | 1 – 3 years + extensions | 5, 7, & 10 years |
Asset Types | Multifamily, Office, Retail, Hotel, & other asset classes (deal specific) | Multifamily, Office, Retail, Hotel, & other asset classes (deal specific) |
Security | First Mortgage | First Mortgage & Mezzanine |
Borrower Entity | Single Purpose Entity | Single Purpose Entity |
Loan-to-Value | < 75% LTV; higher leverage and mezzanine transactions considered on a deal-by-deal basis |
< 75% LTV; higher leverage and mezzanine transactions considered on a deal-by-deal basis |
DSCR Requirement | Deal Specific | 1.30x on LCF UW NCF (1.25x for MF) |
Amortization | IO + AM (deal specific) | IO / 30yr AM (deal specific) |
Interest Rate | SOFR-Based Floating (S+300 floor) | Competitive Swap / Treasury based pricing |
Origination Fee | 1.00% of the Loan amount | Generally par |
Exit Fee | Generally 1.00% of the Loan amount (deal specific). Exit fee may be waived if loan is refinanced by Ladder | None |
TI/LC, Capex, & Other Reserves | Determined by Borrower & Ladder (deal specific) | Upfront and/or ongoing TI/LC & Capex reserves (deal specific exceptions) |
Prepayment | Flexible (no lockout) | Defeasance / yield maintenance |
Recourse | Non-Recourse (standard carve-outs) | Non-Recourse (standard carve-outs) |