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Net increase in
customer deposits
$628,854K
Net borrowings on
warehouse lines of credit
$167,792K
Proceeds from issuance of
common stock under...
$29,221K
Proceeds from issuance of
common stock and...
$75K
Net cash provided by
financing activities
$714,336K
Canceled cashflow
$111,606K
Net decrease in
cash, cash...
-$121,248K
Canceled cashflow
$714,336K
Maturities of short-term
investments
$446,726K
Principal payments
received on loans held for...
$1,518K
Proceeds from sale of
mortgage loans held for...
$4,744,556K
Stock-based compensation
$20,432K
Accounts payable and
accrued expenses
$17,028K
Amortization of internal use
software and other...
$13,025K
Impairment charges, net
$12,505K
Prepaid expenses and
other assets
-$9,492K
Other receivables,
net
-$2,295K
Non-cash interest and
amortization of debt issuance...
$1,700K
Depreciation of property and
equipment
$1,044K
Loss on disposal of
assets held for sale
-$692K
Change in fair value of
derivatives
-$673K
Provision for credit
losses
$584K
Operating lease
liabilities
$548K
Escrow payable and
other customer...
$484K
Change in fair value of
warrants and equity...
$69K
Principal payments on
convertible notes
$110,000K
Principal payments on
senior notes
$1,606K
Net cash used in
investing activities
-$661,507K
Canceled cashflow
$448,244K
Net cash used in
operating activities
-$166,575K
Effects of currency
translation on cash, cash...
-$7,502K
Canceled cashflow
$4,825,127K
Total net revenues
$164,872K
Origination of loans held for
investment
$603,837K
Purchase of short-term
investments
$493,088K
Capitalization of internal use
software
$10,036K
Payment to dispose of
assets held for sale
$1,597K
Purchase of property and
equipment
$1,193K
Originations of mortgage
loans held for sale
$4,678,977K
Net loss
-$165,872K
Gain on sale of loans,
net
$128,209K
Change in fair value of
mortgage loans held for...
-$7,357K
Other liabilities
-$3,520K
Change in operating
lease of right-of-use...
-$3,291K
Change in fair value of
loans held for...
$1,946K
Amortization/accretion of deferred fees
and costs
$1,709K
Recovery of loan
repurchase reserve
-$821K
Canceled cashflow
$164,872K
Compensation and benefits
$174,226K
General and
administrative
$45,323K
Marketing and advertising
$38,356K
Technology
$27,874K
Other
expenses/(income)
-$16,344K
Loan origination
expense
$14,499K
Depreciation and
amortization
$14,069K
Income tax expense
$53K
Home Finance Segment
$14,499K
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Cash Flow
source: myfinsight.com
Better Home & Finance Holding Co (BETRW)
Better Home & Finance Holding Co (BETRW)