Ready Capital Corporation

Ready Capital Corporation

RCยทNYSE

$1.73

+4.2%
Real EstateREIT - Mortgage

Ready Capital Corporation operates as a real estate finance company in the United States. The company acquires, originates, manages, services, and finances small to medium balance commercial (SBC) loans, small business administration (SBA) loans, residential mortgage loans, and mortgage backed securities collateralized primarily by SBC loans, or other real estate-related investments. It operates through three segments: SBC Lending and Acquisitions; Small Business Lending; and Residential Mortgage Banking. The SBC Lending and Acquisitions segment, through its subsidiary, ReadyCap Commercial, LLC, originate SBC loans secured by stabilized or transitional investor properties using various loan origination channels. The Small Business Lending segment, through its subsidiary, ReadyCap Lending, LLC, acquires, originates, and services owner-occupied loans guaranteed by the SBA under its SBA Section 7(a) Program. The Residential Mortgage Banking segment, through its subsidiary, GMFS, LLC, originates residential mortgage loans. The company qualifies as a real estate investment trust for federal income tax purposes. It generally would not be subject to federal corporate income taxes if it distributes at least 90% of its taxable income to its stockholders. The company was formerly known as Sutherland Asset Management Corporation and changed its name to Ready Capital Corporation in September 2018. Ready Capital Corporation was founded in 2007 and is headquartered in New York, New York.

At a Glance

Live Snapshot
Market Cap$285.83M
EPS-1.4400
P/E Ratio-1.20
Earnings Date08/06/2026

Intrinsic Alpha Methodology

Thesis Lenses

Signal ยท Driver ยท Risk

Signal

Medium confidence

Valuation multiple is compressed (P/E -1.2).

Valuation inputs: P/E -1.2, earnings yield N/A, momentum +4.2%.

If multiples stay elevated while momentum fades, downside repricing risk rises.

Driver

High confidence

Return profile is acceptable (ROE -14.8%, ROIC +41.5%).

Profitability stack: net margin -45.8%, ROE -14.8%, ROIC +41.5%.

Quality deterioration often appears in margins before it shows up in headline EPS.

Risk

High confidence

Risk profile is balanced but has notable pressure points to monitor.

Risk factors: liabilities/assets +78.7%, momentum +4.2%, net margin -45.8%.

Higher leverage with weak momentum and thin margins can amplify drawdown severity.

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Ready Capital Corporation Market vs Earnings Trajectory

RC ยท NYSE

Loading price and EPS data...

Ready Capital Corporation

Ready Capital Corporation Fair Value Envelope

RC ยท NYSE

Our analysis suggests that RC has a fair value of HIDDEN per share in the Base Case projection. With shares currently trading at $1.73, this represents a potential HIDDEN relative to our calculated worth for Ready Capital Corporation.

Intrinsic Value
Current Price: $1.73
3Y-209.0%
5Y-278.0%
10Y-178.0%
3Y+30.0%
5Y+30.0%
10Y+300.0%
3Y-218.0%
5Y-610.0%
10Y-566.0%
3Y-157.0%
5Y-395.0%
10Y-1478.0%
3Y-157.0%
5Y-395.0%
10Y-352.0%
3Y-33.0%
5Y+45.0%
10Y+198.0%
Ready Capital Corporation

Ready Capital Corporation Profit Bridge

RC ยท NYSE
Revenue499.47M
Cost of Goods Sold (61.61M)
Gross Profit437.87M
Operating Expenses (316.91M)
Operating Income120.96M
Interest Expense (514.12M)
Other Income/Expense-423.52M
Pretax Income-302.56M
Income Tax (-86.70M)
Net Income-228.91M
Net Income
-228.91M

Profitability Analysis

Gross Margin

87.7%

Exceptional pricing power and cost management. The company retains over half of revenue after direct costs.

Operating Margin

24.2%

Healthy operating margins demonstrate effective cost control and strong business fundamentals.

Net Profit Margin

-45.8%

Net losses indicate the company is burning cash. Sustainability depends on path to profitability.

Profitability Insight

Interest or tax burden: Strong operational performance but thin net margins indicate high interest expenses or unfavorable tax position eating into profits.

87.67%
Gross Profit Margin
-12%
3Y-12.0%
5Y-12.0%
10Y+85.0%
24.22%
Operating Profit Margin
3Y-
5Y-
10Y-10087.0%
-45.83%
Net Profit Margin
-97%
3Y-190.0%
5Y-493.0%
10Y-216.0%
-14.75%
Return on Equity
-38%
3Y-237.0%
5Y-368.0%
10Y-254.0%
-2.95%
Return on Assets
-31%
3Y-276.0%
5Y-453.0%
10Y-256.0%
41.52%
Return on Invested Capital
3Y-
5Y-
10Y-407168.0%
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Ready Capital Corporation Cash Conversion Engine

RC ยท NYSE
Net Income-221.06M
Depreciation & Amortization2.81M
Stock-Based Compensation5.81M
Change in Working Capital-155.93M
Others164.89M
Capital Expenditures0.00
Free Cash Flow-203.48M

Cash Flow Quality Analysis

FCF Conversion Rate

92.0%

Strong cash conversion. Most reported earnings translate into actual cash flow, suggesting solid fundamentals.

FCF Growth Trend

-297.3%

Significant FCF decline raises concerns. Urgent review needed of operational performance and capital allocation.

Working Capital Impact

-$155.93M

Significant working capital drain. Growth may be consuming cash through inventory buildup or receivables extensionโ€”monitor closely.

Cash Flow Quality Insight

Working capital strain: Significant cash tied up in operations. Monitor receivables collection, inventory turns, and payment terms to optimize cash conversion cycle.

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Ready Capital Corporation Funding & Solvency Profile

RC ยท NYSE
Cash & Cash Equivalents200.43M
Net Receivables0.00
Inventory0.00
Other Current Assets0.00
Total Current Assets200 M
Property, Plant & Equipment0.00
Goodwill & Intangible Assets0.00
Long-Term Investments0.00
Other Non-Current Assets0.00
Total Non-Current Assets0
Total Assets
6.31B

Financial Health Analysis

Current Ratio

0.28x

Warning: Liquidity concerns. Current assets may not be sufficient to cover short-term obligations.

Debt-to-Equity Ratio

3.36x

High financial leverage. Heavy reliance on debt may indicate increased financial risk and potential solvency concerns.

Working Capital

-523277000

Negative working capital indicates short-term liabilities exceed short-term assetsโ€”potential liquidity stress.

Asset Composition

3% Current

Capital-intensive business with significant long-term investments in property, equipment, or intangibles.

Financial Health Insight

Financial stress indicators: Both liquidity and leverage metrics raise concerns. The company may face challenges meeting obligations and should focus on strengthening its balance sheet.

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Ready Capital Corporation Street Expectations Map

RC ยท NYSE

Wall Street analysts project that RC stock may rise significantly over the coming 12 months. The consensus 1-year price target stands at 2.50, with estimates ranging from a low of 2.50 to a high of 2.50.

Lowest Target
2.50
44.51%
Consensus Target
2.50
44.51%
Highest Target
2.50
44.51%

The consensus 1-year price target stands at 2.50, with estimates ranging from a low of 2.50 to a high of 2.50.

Analyst Consensus Analysis

Upside Potential

+44.5%

Substantial upside potential. Analysts see significant value gap, suggesting the stock may be materially undervalued at current levels.

Analyst Agreement

0.0% spread

High analyst agreement. Narrow target range indicates strong consensus on valuation, suggesting clear investment thesis and predictable outlook.

Analyst Conviction

Very High

Strong buy conviction: High upside with tight consensus suggests compelling investment opportunity backed by analyst confidence.

Market Sentiment Insight

Rare opportunity: Exceptional upside potential with strong analyst consensus creates a compelling setup. The combination of significant price target premium and tight agreement suggests high-conviction undervaluation that may attract institutional capital.

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Ready Capital Corporation Insider Positioning

RC ยท NYSE

During the last 12 months, insiders have purchased $84K worth of RC shares, with no selling activity reported.

3 Months

Bought

32.8K

63.50K

Sold

0

0.00

Net Activity

+64K

+$64K

3-6 Months

Bought

10.0K

20.20K

Sold

0

0.00

Net Activity

+20K

+$20K

6-9 Months

Bought

0

0.00

Sold

0

0.00

Net Activity

+0

+$0

9-12 Months

Bought

0

0.00

Sold

0

0.00

Net Activity

+0

+$0

Top Buyers

1
NGE

Nathan Gilbert E

Director

40.0K sharesโ€ข2 transactions

$79K

2
AA

Ahlborn Andrew

Officer: Chief Financial Officer

2.8K sharesโ€ข1 transactions

$5K

Top Sellers

No selling activity

Insider Activity Analysis

Net Insider Sentiment

Bullish

Strong bullish signal with $84K net buying. Insiders are aggressively accumulating shares, suggesting significant confidence in future prospects.

Buy/Sell Ratio

โˆž:1

Perfect buy/sell ratio. Only buying activity with zero sellingโ€”the most bullish possible insider signal.

Recent Trend (3 Months)

$64K

Very strong recent buying momentum. Recent insider purchases significantly outpace sales, suggesting near-term optimism.

Insider Participation

High Buying

2 insider buyers vs. 0 sellers. Broad-based buying across management team suggests widespread confidence.

Insider Activity Insight

Compelling insider conviction: The combination of strong buy/sell ratio and multiple buyers suggests insiders see attractive risk/reward. Consider this alongside fundamental analysis for confirmation.

0.00%
Dividend Yield
-100%
3Y-100.0%
5Y-100.0%
10Y-100.0%
ย 

rc Dividend History

RC
10Y CAGR 30%
Latest $0.01
Annual $0.395
Stable dividend payments
Last Period: +0%