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Ready Capital Corporation (0SZ.F)

Frankfurt - Frankfurt Delayed Price. Currency in EUR
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8.00-0.15 (-1.84%)
At close: 08:31AM CEST
Annual

Cash Flow

Currency in USD. All numbers in thousands
Breakdown
ttm
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Cash flows from operating activities
Net Income
339,451
339,451
194,263
157,744
44,870
Stock based compensation
7,550
7,550
7,495
6,920
5,299
Change in working capital
-83,248
-83,248
-24,696
-36,879
70,777
Accounts receivable
-10,226
-10,226
-3,731
8,140
14,188
Other working capital
54,063
54,063
349,820
-33,880
68,893
Other non-cash items
-211,844
-211,844
-8,879
10,168
80,303
Net cash provided by operating activites
54,063
54,063
349,820
-33,880
68,893
Cash flows from investing activities
Acquisitions, net
-
-
-
-11,536
0
Purchases of investments
-25,326
-25,326
-128,239
-59,714
-37,923
Sales/Maturities of investments
8,059
8,059
88,510
2,015,907
12,486
Other investing activites
68,950
68,950
-11,496
41,746
16,932
Net cash used for investing activites
1,019,444
1,019,444
-1,556,428
-1,718,405
-59,442
Cash flows from financing activities
Debt repayment
-6,103,285
-6,103,285
-8,939,317
-10,718,058
-7,235,512
Common stock issued
108
108
123,490
165,050
13,360
Common stock repurchased
-18,108
-18,108
-36,969
-109,374
-9,235
Dividends Paid
-215,089
-215,089
-187,832
-111,924
-56,885
Other financing activites
-41,216
-41,216
-67,254
12,234
-13,192
Net cash used privided by (used for) financing activities
-1,133,307
-1,133,307
1,264,170
1,938,898
63,051
Net change in cash
-11,098
-11,098
-2,626
131,087
72,502
Cash at beginning of period
273,604
273,604
276,230
145,143
127,980
Cash at end of period
262,506
262,506
273,604
276,230
200,482
Free Cash Flow
Operating Cash Flow
54,063
54,063
349,820
-33,880
68,893
Free Cash Flow
54,063
54,063
349,820
-33,880
68,893