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For the quarter ending 2025-09-30, RC-PC had $11,721K increase in cash & cash equivalents over the period.

Cash Flow Overview

Change in Cash
$11,721K

Unit: Thousand (K) dollars (except for numbers of shares and EPS)
Cash Flow
2025-09-30
2024-12-31
Net income (loss) from continuing operations
16,712 -411,999
Amortization of premiums, discounts, and debt issuance costs, net
33,208 52,541
Stock-based compensation
5,010 8,119
Provision for (recovery of) loan losses
-62,951 292,759
Impairment loss on real estate owned, held for sale
8,476 56,503
Depreciation and amortization on real estate owned
1,100 -
Repair and denial reserve
1,627 385
Paid-in-kind accrued interest
4,061 77,573
Provision for loan losses on purchased future receivables
0 2,118
Valuation allowance (recovery), loans held for sale
-38,761 -
Net (income) loss of unconsolidated joint ventures, net of distributions
1,509 7,702
Realized (gains) losses, net
-132,945 -53,900
Valuation allowance, loans held for sale
-124,878
Unrealized (gains) losses, net
626 -15,086
Bargain purchase gain
112,562 13,859
Loans, held for sale, net
556,246 326,035
Derivative instruments
457 -5,234
Assets of consolidated vies (excluding loans, net), accrued interest and due from servicers
-41,127 60,828
Receivable from third parties
6,209 -1,948
Other assets
111,574 58,932
Accounts payable and other accrued liabilities
8,922 -22,214
Net cash provided by operating activities from continuing operations
466,663 286,399
Net cash used for operating activities from discontinued operations
-23,784 -11,584
Net cash provided by operating activities
442,879 274,815
Origination of loans
420,697 826,430
Purchase of loans
-0
Proceeds from disposition and principal payment of loans
1,593,480 2,274,117
Funding of investments held to maturity
2,385 0
Proceeds from principal payments of investments held to maturity
-0
Proceeds from sale and principal payment of mortgage-backed securities
-0
Funding of real estate, held for sale
964 1,408
Proceeds from sale of real estate, held for sale
57,743 67,240
Investment in unconsolidated joint ventures
20,280 33,239
Distributions in excess of cumulative earnings from unconsolidated joint ventures
9,800 13,593
Payment of liabilities under participation agreements
1,335 14,535
Net cash provided by (used for) disposal of discontinued operations
-3,521 -
Net cash provided by (used for) asset acquisitions
4,249 -
Net cash provided by (used for) business acquisitions
-16,020 44,366
Net cash provided by investing activities from continuing operations
1,239,152 1,434,972
Net cash provided by investing activities from discontinued operations
43,316 100,045
Net cash provided by investing activities
1,282,468 1,535,017
Proceeds from secured borrowings
2,710,938 2,102,388
Repayment of secured borrowings
1,870,521 2,166,562
Repayment of the paycheck protection program liquidity facility borrowings
10,451 17,166
Proceeds from issuance of securitized debt obligations of consolidated vies
-0
Repayment of securitized debt obligations of consolidated vies
2,295,827 1,520,669
Proceeds from corporate debt
-125,905
Proceeds from senior secured note
290,250 92,119
Repayment of convertible note
-0
Repayment of corporate debt
232,140 -
Repayment of guaranteed loan financing
147,002 153,422
Payment of deferred financing costs
25,940 12,178
Payment of contingent consideration
-0
Proceeds from issuance of equity, net of issuance costs
-0
Common stock repurchased
65,721 82,250
Settlement of share-based awards in satisfaction of withholding tax requirements
1,964 1,238
Dividend payments
90,716 206,057
Distributions, net
0 -18
Net cash used for financing activities from continuing operations
-1,739,094 -1,839,148
Net cash provided by (used for) financing activities from discontinued operations
-4,324 -40,632
Net cash used for financing activities
-1,743,418 -1,879,780
Net decrease in cash, cash equivalents, and restricted cash including cash classified within assets held for sale
-18,071 -69,948
Less net decrease in cash and cash equivalents within assets held for sale
-29,792 9,784
Net increase (decrease) in cash, cash equivalents, and restricted cash
11,721 -79,732
Cash and cash equivalents at beginning of period
182,774 262,506
Cash and cash equivalents at end of period
194,495 182,774
Unit: Thousand (K) dollars

Time Plot

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Ready Capital Corp (RC-PC)

Ready Capital Corp (RC-PC)