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For the quarter ending 2026-03-31, SCCG had $641K increase in cash & cash equivalents over the period.

Cash Flow Overview

Change in Cash
$641K
Unit: Thousand (K) dollars
Positive Cash Flow Breakdown
    • Proceeds from lines of credit
    • Principal collections on loans
    • Proceeds from issuance of senior...
    • Others
Negative Cash Flow Breakdown
    • Principal disbursements for loan...
    • Repayments on lines of credit
    • Net (loss) income
    • Others

Cash Flow
2026-03-31
2025-12-31
2025-09-30
Net (loss) income
-6,077 2,520 3,788
Amortization of deferred financing costs
507 549 1,653
Depreciation and amortization expense
89 157 368
Stock-based compensation
267 195 645
Provision for credit losses related to loans held for investment
5,372 492 2,788
Change in valuation allowance related to loans held for sale
0 0 -1,014
(gain) loss on sale of loans
-121 -
Impairment loss on real estate owned
-875 185
Recovery of impairment loss on real estate owned
97 --
Gain on sale of real estate owned and property and equipment, net
196 4,236 -181
Gain on extinguishment of debt
-0 140
Gain on investment securities
-1,566 -
Loss on equity securities
-2,200 -2,060
Change in deferred loan fees
5 166 -446
Interest and fees receivable, net
668 112 79
Other assets
-176 1,076 -310
Due from borrowers, net
855 1,430 2,251
Accounts payable and accrued liabilities
838 692 -960
Advances from borrowers
--1,764
Total adjustments and operating changes
--1,836
Advances from borrowers
1,344 -31 -
Net cash provided by operating activities
835 -2,962 5,624
Purchase of investment securities
-0 0
Proceeds from the sale of investment securities
--1 2,148
Purchase of interests in limited liability companies
721 705 5,742
Proceeds from investments in limited liability companies
4,618 2,740 18,517
Proceeds from sale of real estate owned
673 4,229 3,282
Acquisitions of and improvements to real estate owned
--235 235
Proceeds from sale of investments in developmental real estate and property and equipment
-19,874 -
Purchase of property and equipment
0 107 55
Investments in developmental real estate
363 454 2,762
Principal disbursements for loans
38,761 26,167 125,609
Principal collections on loans
18,050 28,117 112,045
Net cash (used in) provided by investing activities
-16,504 27,761 1,589
Proceeds from lines of credit
20,000 17,000 58,840
Repayments on lines of credit
10,000 30,740 66,100
Proceeds from repurchase agreements
0 0 11,693
Proceeds from issuance of common shares, net of expenses
-0 0
Repayments of repurchase agreements
0 -82,977 37,576
Repurchase of common shares
-0 0
Repayment of mortgage payable
22 22 63
Proceeds from issuance of series a preferred stock, net of expenses
-109 0
Repayment of notes payable
-0 56,845
Dividends paid on common shares
2,398 2,386 7,114
Dividends paid on series a preferred stock
1,120 1,120 3,352
Proceeds from issuance of senior secured notes
10,000 0 90,000
Payments of deferred financing costs
150 63 3,590
Net cash provided by financing activities
16,310 -25,047 -14,107
Net increase in cash and cash equivalents
641 -248 -6,894
Cash and cash equivalents beginning of period
10,924 11,172 18,066
Cash and cash equivalents end of period
11,565 10,924 11,172
Unit: Thousand (K) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Proceeds from lines ofcredit$20,000K Provision for creditlosses related to loans...$5,372K Proceeds from issuance ofsenior secured notes$10,000K Loss on equitysecurities-$2,200K Advances from borrowers$1,344K Accounts payable andaccrued liabilities$838K Amortization of deferredfinancing costs$507K Stock-based compensation$267K Other assets-$176K Depreciation andamortization expense$89K Net cash provided byfinancing activities$16,310K Net cash provided byoperating activities$835K Canceled cashflow$13,690K Canceled cashflow$9,958K Net increase in cashand cash...$641K Canceled cashflow$16,504K Repayments on lines ofcredit$10,000K Dividends paid on commonshares$2,398K Dividends paid on series apreferred stock$1,120K Payments of deferredfinancing costs$150K Repayment of mortgagepayable$22K Principal collections onloans$18,050K Proceeds frominvestments in limited...$4,618K Proceeds from sale of realestate owned$673K Net (loss) income-$6,077K something is missing-$2,060K Due from borrowers,net$855K Interest and feesreceivable, net$668K Gain on sale of realestate owned and...$196K Recovery of impairmentloss on real estate...$97K Change in deferred loanfees$5K Net cash (used in)provided by investing...-$16,504K Canceled cashflow$23,341K Principal disbursementsfor loans$38,761K Purchase of interests inlimited liability...$721K Investments indevelopmental real estate$363K

Sachem Capital Corp. (SCCG)

Sachem Capital Corp. (SCCG)