Ready Capital Investor Presentation Deck slide image

Ready Capital Investor Presentation Deck

Balance Sheet by Quarter (in thousands) Assets Cash and cash equivalents Restricted cash Loans, net Loans, held for sale, at fair value Payment protection program loans, net Mortgage backed securities, at fair value Loans eligible for repurchase from Ginnie Mae Investment in unconsolidated joint ventures Investments held to maturity Purchased future receivables, net Derivative instruments Servicing rights Real estate owned, held for sale Other assets Assets of consolidated VIES Total Assets Liabilities Secured borrowings Paycheck Protection Program Liquidity Facility (PPPLF) borrowings Securitized debt obligations of consolidated VIEs, net Convertible notes, net Senior secured notes and Corporate debt, net Guaranteed loan financing Contingent consideration Liabilities for loans eligible for repurchase from Ginnie Mae Derivative instruments Dividends payable Loan participations sold Due to third parties Accounts payable and other accrued liabilities Total Liabilities Preferred stock Series C Stockholders' Equity Preferred stock Common stock Additional paid-in capital Retained earnings Accumulated other comprehensive income (loss) Total Ready Capital Corporation equity Non-controlling interests Total Stockholders' Equity Total Liabilities and Stockholders' Equity Adjusted Book Value per Share S 229,531 51,569 2,915,446 552,935 870,352 99,496 94,111 141,148 $ 12/31/2021 $ $ $ 7,872 7,022 204,599 42,288 172,098 4,145,564 9,534,031 2,517,600 941,505 3,214,303 113,247 783,852 345,217 16,400 94,111 410 34,348 668 183,411 $ 8,245,072 8,361 111,378 8 1,161,853 8,598 (5,733) 1,276,104 4,494 1,280,598 9,534,031 15.35 S 3/31/2022 211,369 56,963 4,062,335 523,214 554,656 93,259 82,975 149,475 57,285 8,753 36,852 244,143 119,207 186,089 5,089,669 $ 11,476,244 $ 3,274,324 627,445 3,864,150 113,531 788,572 332,398 92,148 82,975 2,620 51,161 56,386 38,846 184,592 $ 9,509,148 8,361 $ 111,378 11 1,723,099 21,661 (4,704) 1,851,445 107,290 $ 1,958,735 $ 11,476,244 $ 15.21 6/30/2022 127,939 64,746 3,907,321 469,442 389,189 40,648 54,784 224,220 50,618 8,704 46,530 253,511 119,557 183,887 5,996,219 11,937,315 3,212,383 427,759 4,533,789 113,818 907,699 304,158 92,548 54,784 1,303 51,185 53,544 24,737 189,182 $ 9,966,889 8,361 S 9/30/2022 208,037 57,675 4,158,807 403,609 275,761 111,378 11 1,723,580 27,298 (2,815) 1,859,452 102,613 $ 1,962,065 $ 11,937,315 $ 15.28 $ $ $ 37,895 65,188 119,272 40,089 8,593 26,212 277,692 82,977 READY CAPITAL. 3,348,249 305,797 4,429,846 114,108 1,005,159 283,822 33,200 65,188 4,345 $ 12,963 279,320 117,098 213,030 5,883,374 189,769 6,552,760 $ 11,858,211 $ 11,620,977 51,136 54,104 14,881 171,152 $ 9,880,987 $ 8,361 12/31/2022 111,378 11 1,720,019 40,079 (4,505) 1,866,982 101,881 1,968,863 $ 11,858,211 $ 15.40 $ 163,041 55,927 3,576,310 258,377 186,985 32,041 66,193 118,641 3,306 8,246 2,846,293 201,011 4,903,350 114,397 1,006,020 264,889 28,500 66,193 1,586 47,177 54,641 11,805 176,520 9,722,382 8,361 111,378 11 1,684,074 4,994 (9,369) 1,791,088 99,146 1,890,234 11,620,977 15.20 35
View entire presentation