Ready Capital Corp
NYSE:RC
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Ready Capital Corp
Cash from Operating Activities
Ready Capital Corp
Cash from Operating Activities Peer Comparison
Competitors Analysis
Latest Figures & CAGR of Competitors
| Company | Cash from Operating Activities | CAGR 3Y | CAGR 5Y | CAGR 10Y | ||
|---|---|---|---|---|---|---|
|
Ready Capital Corp
NYSE:RC
|
Cash from Operating Activities
$461.9m
|
CAGR 3-Years
9%
|
CAGR 5-Years
46%
|
CAGR 10-Years
32%
|
|
|
Blackstone Mortgage Trust Inc
NYSE:BXMT
|
Cash from Operating Activities
$275.9m
|
CAGR 3-Years
-11%
|
CAGR 5-Years
-4%
|
CAGR 10-Years
5%
|
|
|
Starwood Property Trust Inc
NYSE:STWD
|
Cash from Operating Activities
$977.9m
|
CAGR 3-Years
66%
|
CAGR 5-Years
-1%
|
CAGR 10-Years
5%
|
|
|
Hannon Armstrong Sustainable Infrastructure Capital Inc
NYSE:HASI
|
Cash from Operating Activities
$167.3m
|
CAGR 3-Years
799%
|
CAGR 5-Years
18%
|
CAGR 10-Years
25%
|
|
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Annaly Capital Management Inc
NYSE:NLY
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Cash from Operating Activities
$692.9m
|
CAGR 3-Years
-33%
|
CAGR 5-Years
-28%
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CAGR 10-Years
-6%
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Rithm Capital Corp
NYSE:RITM
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Cash from Operating Activities
-$1.3B
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CAGR 3-Years
N/A
|
CAGR 5-Years
N/A
|
CAGR 10-Years
N/A
|
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Ready Capital Corp
Glance View
Ready Capital Corp. thrives as a diversified financial firm, skilfully navigating the complexities of the real estate and lending sectors. With a focus on supporting small to medium-sized businesses, it operates through multiple channels that cater to various aspects of real estate finance. At its core, Ready Capital specializes in originating, acquiring, and servicing a diversified portfolio of small balance commercial loans. These loans are primarily secured by commercial real estate, including multifamily, office, retail, and hospitality properties. The company strategically underwrites and structures these loans to meet the nuanced needs of its clients, ensuring both flexibility and competitiveness in the market. The company's revenue is anchored in its adept ability to manage risk and capitalize on its extensive real estate market expertise. Through its well-established loan conduit, Ready Capital gains fees from originating loans and earns interest income from its portfolio. Additionally, by securitizing loans and selling them on secondary markets, it frees up capital to reinvest, creating a continuous cycle of growth and profit. Another pillar supporting its business model is its government-guaranteed lending offerings, which provide an added layer of security and opportunity for diverse revenue streams. Ready Capital also benefits from servicing income, as it continues to manage many seasoned loans, ensuring a steady income flow even beyond initial origination. Through this multifaceted approach, the company not only reinforces its financial foundation but also positions itself adeptly in the dynamic world of real estate financing.
See Also
What is Ready Capital Corp's Cash from Operating Activities?
Cash from Operating Activities
461.9m
USD
Based on the financial report for Dec 31, 2025, Ready Capital Corp's Cash from Operating Activities amounts to 461.9m USD.
What is Ready Capital Corp's Cash from Operating Activities growth rate?
Cash from Operating Activities CAGR 10Y
32%
Over the last year, the Cash from Operating Activities growth was 74%. The average annual Cash from Operating Activities growth rates for Ready Capital Corp have been 9% over the past three years , 46% over the past five years , and 32% over the past ten years .