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MFA Financial Inc
Other Liabilities
MFA Financial Inc
Other Liabilities Peer Comparison
Competitors Analysis
Latest Figures & CAGR of Competitors
| Company | Other Liabilities | CAGR 3Y | CAGR 5Y | CAGR 10Y | ||
|---|---|---|---|---|---|---|
|
MFA Financial Inc
NYSE:MFA
|
Other Liabilities
N/A
|
CAGR 3-Years
N/A
|
CAGR 5-Years
N/A
|
CAGR 10-Years
N/A
|
|
|
Starwood Property Trust Inc
NYSE:STWD
|
Other Liabilities
$32.7B
|
CAGR 3-Years
-15%
|
CAGR 5-Years
-12%
|
CAGR 10-Years
-9%
|
|
|
Hannon Armstrong Sustainable Infrastructure Capital Inc
NYSE:HASI
|
Other Liabilities
N/A
|
CAGR 3-Years
N/A
|
CAGR 5-Years
N/A
|
CAGR 10-Years
N/A
|
|
|
Annaly Capital Management Inc
NYSE:NLY
|
Other Liabilities
$447.3m
|
CAGR 3-Years
-35%
|
CAGR 5-Years
-19%
|
CAGR 10-Years
-15%
|
|
|
AGNC Investment Corp
NASDAQ:AGNC
|
Other Liabilities
$1.1B
|
CAGR 3-Years
-51%
|
CAGR 5-Years
-33%
|
CAGR 10-Years
-9%
|
|
|
Rithm Capital Corp
NYSE:RITM
|
Other Liabilities
$3.1B
|
CAGR 3-Years
10%
|
CAGR 5-Years
15%
|
CAGR 10-Years
43%
|
|
MFA Financial Inc
Glance View
MFA Financial Inc., a player in the specialized finance sector, operates at the heart of real estate investment, carving its niche through the acquisition and management of residential mortgage assets. Its narrative is interwoven with the intricate world of mortgage-backed securities, loans, and other real estate-related investments. The company deftly maneuvers through the capital markets, leveraging its expertise to purchase residential mortgage securities that blend both credit-sensitive and interest-rate sensitive characteristics. This dual focus permits MFA Financial to tap into varying market conditions, adjusting its strategies to either seek stability during turbulent times or capitalize on market fluctuations. By holding a diversified portfolio comprising agency mortgage-backed securities and non-agency securities, the company maintains a robust balance meant to mitigate risks while aiming for favorable returns. The revenue engine of MFA Financial is powered largely by the spread between the yields of the investments they hold and the costs of financing these investments. In essence, the company borrows at lower short-term interest rates to finance the acquisition of higher-yielding long-term mortgage assets, earning profit from the difference. Additionally, its focus on credit-sensitive assets allows it to capture higher returns, though with an element of credit risk. The firm constantly assesses the landscape, rebalancing its portfolio in response to macroeconomic signals and shifts in the real estate market. This dynamic reallocation strategy and deep industry expertise allow MFA Financial to navigate the complexities of the financial market, aligning its operational model to deliver steady dividends to its shareholders, while managing the inherent risks associated with its investments.