READY CAPITAL CORP (RC)

US75574U1016 - REIT

6.97  +0.03 (+0.43%)

After market: 6.9527 -0.02 (-0.25%)

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TTM
(2024-9-30)
2023
(2023-12-31)
2022
(2022-12-31)
2021
(2021-12-31)
2020
(2020-12-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
-104.77M348.41M203.20M160.00M46.10M
Change In Working Capital
-73.83M-85.39M-81.50M38.00M71.90M
Interest Paid
709.96M661.17M355.20M186.10M156.30M
Taxes Paid
-10.43M2.01M29.20M13.40M-8.50M
Other non cash items
399.31M-208.47M237.40M-232.50M-49.10M
OPERATING CASH FLOW
220.64M54.55M359.10M-34.40M68.90M
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-5.97M-12.46M-11.00MN/A-300.00K
Other Investing Activity
1.43B1.03B-1.55B-1.72B-59.10M
INVESTING CASH FLOW
1.43B1.02B-1.56B-1.72B-59.40M
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-1.49B-864.05M1.34B1.98B130.30M
Stock Issued/Repurchased
-39.19M-18.00M86.50M55.70M2.90M
Dividend Paid
-226.25M-215.09M-187.80M-111.90M-56.90M
Other Financing Activity
52.17M12.06M-64.00M-48.50M-13.20M
FINANCING CASH FLOW
-1.70B-1.09B1.17B1.88B63.10M
 
CHANGE IN CASH
-53.02M-11.10M-26.30M122.90M72.60M
 
FREE CASH FLOW
Operating Cash Flow
220.64M54.55M359.10M-34.40M68.90M
Capital Expenditure
-5.97M-12.46M-11.00MN/A-300.00K
FREE CASH FLOW
214.67M42.08M348.10M-34.40M68.60M

All data in USD

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