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Real Estate - REIT - Mortgage - NYSE - US
$ 24.7009
-2.02 %
$ 1.13 B
Market Cap
33.7
P/E
BALANCE SHEET
13.1 B ASSETS
1.45%
10.6 B LIABILITIES
2.12%
2.53 B EQUITY
-1.28%
BALANCE SHEET DECOMPOSITION
Balance Sheet Chimera Investment Corporation
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Current Assets 0
Cash & Short-Term Investments 84 M
Receivables 81.4 M
Other Current Assets -165 M
Non-Current Assets 0
Long-Term Investments 0
PP&E 0
Other Non-Current Assets 0
Current Liabilities 0
Accounts Payable 0
Short-Term Debt 2.82 B
Other Current Liabilities -2.82 B
Non-Current Liabilities 0
Long-Term Debt 7.19 B
Other Non-Current Liabilities -7.19 B

Balance Sheet

Millions
Dec-2024 Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007
ASSETS
Cash & Cash Equivalents 84.0 221.7 264.6 385.7 269.1 109.9 47.5 63.6 177.7 114.1 164.6 77.6 621.2 206.3 7.2 24.3 27.5 0
Short Term Investments 0 0 11 359.2 0 0 3.6 37.5 48.9 9.7 15.5 3.6 8.1 0 0 0 0 855.5 1 124.3
Receivables 81.4 77.0 61.8 69.5 81.2 562.6 123.4 100.8 79.7 66.2 1 643.2 286.5 39.3 49.3 49.1 33.1 10.0 6.0
Inventory 0 0 (4.1) 0 1 25.0 (37.5) (48.9) (9.7) (15.5) (3.6) (8.1) 1 0 0 0 0 0
Other Current Assets (165.4) 88.3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Current Assets 0 386.9 11 685.6 455.3 350.2 672.5 47.5 63.6 177.7 114.1 164.6 77.6 621.2 255.6 56.3 57.4 892.9 1 130.3
PP&E 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Intangible Assets 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 0 1 146.3 1 578.4 2 631.9 3 981.8 11 955.4 14 675.1 7 216.1 7 497.8 10 190.7 11 845.7 2 790.5 2 493.7 7 233.5 7 297.5 4 088.9 1 438.8 0
Other Long Term Assets 0 0 (13 402.0) (15 407.4) (17 523.0) (27 118.7) (29 521.1) (7 394.5) (7 755.2) 4 973.7 7 073.6 4 049.8 4 608.9 258.0 354.7 472.0 (854.2) 0
Other Assets 13 116.5 11 395.8 138.0 12 320.2 13 191.0 14 490.7 14 798.5 114.8 79.7 66.2 71.1 18.1 18.7 0 0 0 0 1 565.6
Total Assets 13 116.5 12 929.0 13 402.0 15 407.4 17 523.0 27 118.7 27 708.6 21 222.1 16 684.9 15 344.6 19 155.0 6 936.1 7 742.5 7 747.1 7 708.6 4 618.3 1 477.5 1 565.6
LIABILITIES
Accounts Payable 0 38.3 30.7 20.4 41.0 63.6 110.4 61.9 48.7 37.4 31.9 6.7 10.8 11.4 0.4 0.5 0.4 0
Short Term Debt 2 824.4 2 679.0 3 966.5 4 897.3 5 448.8 0 0 0 0 0 0 0 0 0 0 0 627.7 0
Other Current Liabilities (2 824.4) 222.8 (3 997.2) (4 917.7) (5 489.7) (63.6) 16 402.5 9 444.9 7 388.8 7 989.9 11 000.5 2 364.4 2 333.3 127.6 326.2 125.5 (615.9) 0
Total Current Liabilities 0 2 940.1 47.3 32.0 46.7 69.8 15 389.5 7 992.7 6 286.2 8 148.5 10 452.0 2 001.0 1 694.0 139.0 314.2 126.0 12.2 0
Long Term Debt 7 190.4 7 430.0 0 6 178.4 8 064.8 7 630.7 7 491.9 16 844.9 12 876.1 11 689.2 5 095.3 3 262.3 4 034.0 2 673.0 4 066.5 2 365.8 423.2 0
Deferred Tax Income 0 0 (10 735.2) (595.6) (230.1) (1 424.7) (24 004.8) (17 587.1) (13 561.4) 0 0 0 0 0 0 0 0 0
Other Liabilities (7 190.4) 0 0 (6 178.4) (8 064.8) (7 630.7) 0 (8 764.6) (6 752.3) (7 318.1) (5 095.3) (3 262.3) (4 034.0) 1 887.5 10.0 0 627.7 0
Total Liabilities 10 590.3 10 370.1 10 735.2 11 671.2 13 743.6 23 165.4 24 004.8 17 587.1 13 561.4 12 398.5 15 547.3 3 604.6 4 200.0 4 699.5 4 390.7 2 491.8 1 063.0 1 026.7
EQUITY
Common Stock 0.8 2.4 2.3 2.4 2.3 1.9 1.9 1.9 1.9 1.9 10.3 10.3 10.3 10.3 10.3 6.7 1.8 0
Retained Earnings (2 025.0) (1 998.1) (1 883.6) (1 030.7) (1 319.4) (1 033.3) (997.3) (990.7) (1 105.3) (1 196.0) (1 055.5) (1 274.8) (1 062.3) (999.8) (203.8) (71.0) (152.6) (3.8)
Other Accumulative Comprehensive Income/Loss 159.4 185.7 229.3 405.1 558.1 708.3 626.8 796.9 718.1 773.8 1 046.7 990.8 989.9 433.5 (90.5) (99.8) (266.7) 10.0
Total Equity 2 526.2 2 558.9 13 016.3 14 426.1 17 023.9 25 584.1 26 302.1 20 416.3 15 821.9 2 946.2 3 607.7 3 331.5 3 542.5 3 047.6 3 317.9 2 126.6 414.5 538.9
Total Liabilities and Equity 13 116.5 12 929.0 13 402.0 15 407.4 17 523.0 27 118.7 27 708.6 21 222.1 16 684.9 15 344.6 19 155.0 6 936.1 7 742.5 7 747.1 7 708.6 4 618.3 1 477.5 1 565.6
SHARES OUTSTANDING
Common Shares Outstanding 81.0 228.3 233.9 233.8 213.0 187.2 187.1 187.8 187.7 199.6 205.5 205.4 205.4 205.3 164.3 101.2 12.6 7.5