Ready Capital Corporation Notes -15.12.29

Ready Capital Corporation Notes -15.12.29

Real Estate

NYSE:RCD · New York Stock Exchange

Market Cap $3.65B Beta 1.50 P/E (TTM) -0.6
$22.61 +0.18%

+$0.04 today

52W Low $18.55High $24.45

Vol 0.00M · Avg 0.01M

EPS (TTM) -$3.12 Div Yield 15.70%REIT - Mortgage

Income Statement

Follow revenue through to earnings

Review sales, margins, expenses, and profit trends to see what is actually driving reported earnings over time.

Ready Capital Corporation Notes -15.12.29

Stock Ticker Earnings Waterfall

NYSE:RCD · Revenue to Net Income

Key Ratios

EPS$-3.14
Gross Margin30.0%
Net Margin-68.8%
P/E Ratio-3.1
P/S Ratio-4.5

Analysis

$175.5M of revenue converted into -$510.1M of net income for the selected period. Gross margin is 30.0% and net margin is -68.8%, showing how much revenue survives after costs and taxes. EPS is $-3.14, tying the income statement back to per-share earnings.

Income Statement

Annual data · 5 periods

MetricFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018
Revenue
$499.5M
+1726.0%
$27.4M
-93.0%
$389.9M
+1.7%
$383.3M
+29.4%
$296.3M
$809.6M$921.6M$731.2M
Cost of Revenue
$61.6M
$0
$0
$0
$0
$725.6M$804.0M$882.4M
Gross Profit
$437.9M
+1500.7%
$27.4M
-93.0%
$389.9M
+1.7%
$383.3M
+29.4%
$296.3M
$8.9B$7.6B$6.2B
Gross Margin
87.7%
-12.3pp
100.0%
+0.0pp
100.0%
+0.0pp
100.0%
+0.0pp
100.0%
9.8%28.9%38.3%
Research & Development
$0
$0
$0
$0
$0
$983.2M$1.3B$490.4M
Selling, General & Admin
$108.7M
+10.1%
$98.7M
+2.6%
$96.3M
+9.6%
$87.9M
+22.5%
$71.7M
$620.6M$923.0M-$1.5B
Operating Expenses
$316.9M
+1058.5%
$27.4M
-93.0%
$389.9M
+1.7%
$383.3M
+29.4%
$296.3M
$5.3B$7.0B$8.7B
Depreciation & Amortization
$2.8M
-85.8%
$19.8M
-2.2%
$20.2M
-19.3%
$25.1M
+56.6%
$16.0M
$374.2M$1.2B$631.8M
EBITDA
$214.4M
+7.3%
$199.7M
-81.8%
$1.1B
+82.3%
$600.9M
+66.1%
$361.7M
-$15.2B$6.8B$9.3B
EBITDA Margin
42.9%
-687.2pp
730.1%
+449.3pp
280.8%
+124.1pp
156.7%
+34.7pp
122.1%
5.6%46.3%42.0%
Operating Income
$121.0M
$0
$0
$0
$0
$12.3B$14.0B-$15.7B
Operating Margin
24.2%
0.0%
0.0%
0.0%
0.0%
16.6%24.1%22.0%
Interest Income
$569.2M
-36.5%
$897.0M
-5.2%
$945.8M
+40.9%
$671.2M
+66.3%
$403.5M
-$1.5B-$1.6B$405.0M
Interest Expense
$514.1M
-26.2%
$696.5M
-2.8%
$716.5M
+78.8%
$400.8M
+87.7%
$213.6M
$1.1B$1.0B$1.2B
Other Income / Expenses
-$423.5M
+18.0%
-$516.5M
-244.1%
$358.4M
+104.8%
$175.0M
+32.4%
$132.2M
-$1.5B$1.4B$1.2B
Income Before Tax
-$302.6M
+41.4%
-$516.5M
-244.1%
$358.4M
+104.8%
$175.0M
+32.4%
$132.2M
$3.3B$4.9B$3.6B
Pre-Tax Margin
-60.6%
+1827.7pp
-1888.2%
-1980.2pp
91.9%
+46.3pp
45.7%
+1.1pp
44.6%
20.8%18.7%26.2%
Income Tax Expense
-$86.7M
+17.0%
-$104.5M
-1556.8%
$7.2M
-53.6%
$15.5M
+4.1%
$14.9M
$1.3B-$1.6B$745.2M
Net Income
-$228.9M
+47.5%
-$435.8M
-228.4%
$339.5M
+74.7%
$194.3M
+23.2%
$157.7M
$4.9B$4.8B$4.7B
Net Margin
-45.8%
+1547.2pp
-1593.0%
-1680.1pp
87.1%
+36.4pp
50.7%
-2.6pp
53.2%
12.4%17.5%22.5%
EPS (Basic)
-$1
+45.2%
-$3
-216.4%
$2
+71.2%
$1
-39.2%
$2
$400.8M$703.2M$1.3B
EPS (Diluted)
-$1
+45.2%
-$3
-217.9%
$2
+47.7%
$2
-1.9%
$2
$766.2M$609.4M$452.6M
Weighted Avg Shares
$164.5M
-2.7%
$169.1M
+15.2%
$146.8M
+37.4%
$106.9M
+56.0%
$68.5M
$757.8M$925.8M$1.1B
Weighted Avg Shares (Diluted)
$167.3M
-1.9%
$170.5M
+14.7%
$148.6M
+26.8%
$117.2M
+70.7%
$68.7M
$1.2B$924.4M$678.0M

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SEC Filings

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How much revenue does RCD generate?

Ready Capital Corporation Notes -15.12.29 (RCD) reported $499.47M of revenue in fiscal 2025.

Is RCD profitable?

Ready Capital Corporation Notes -15.12.29 (RCD) reported -$228,915,000.00 of net income, with a net margin of -45.8%.

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