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Ready Capital Corporation 5.75% (RCC) 10-Year Financial Performance & Capital Metrics

RCC • • REIT / Real Estate
Real EstateIndustrial REITsIndustrial Finance REITsCommercial Mortgage REITs
AboutReady Capital Corp. is a real estate finance company, which engages in acquiring, managing, and financing small balance commercial loans. It operates through the following segments: SBC Lending and Acquisitions, Small Business Lending, and Residential Mortgage Banking. The SBC Lending and Acquisitions segment is involved in the SBC loans across the full life-cycle of an SBC property including construction, bridge, stabilized, and agency loan origination channels through wholly-owned subsidiary, ReadyCap Commercial, LLC. The Small Business Lending segment acquires, originates, and services owner-occupied loans guaranteed by the SBA under its SBA Section 7(a) Program through wholly-owned subsidiary, ReadyCap Lending, LLC. The Residential Mortgage Banking segment focuses on the residential mortgage loan origination segment through wholly-owned subsidiary, GMFS, LLC. The company was founded in November 2011 and is headquartered in New York, NY.Show more
  • Revenue $27M -93.0%
  • FFO -$416M -215.7%
  • FFO/Share -2.44 -200.8%
  • FFO Payout 0% -100.0%
  • FFO per Share -2.44 -200.8%
  • NOI Margin 100%
  • FFO Margin -1520.73% -1748.7%
  • ROE -19.02% -227.3%
  • ROA -3.86% -236.8%
  • Debt/Assets 59.51% +2.2%
  • Net Debt/EBITDA -
  • Book Value/Share 11.36 -36.3%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓High NOI margin of 100.0%
  • ✓Healthy dividend yield of 4.9%

✗Weaknesses

  • ✗High debt to equity ratio of 3.1x
  • ✗Weak 3Y average ROE of 2.7%
  • ✗Weak Piotroski F-Score: 1/9
  • ✗Shares diluted 14.7% in last year

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-5.79%
5Y-32.68%
3Y-54.81%
TTM-131.52%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-182.99%

EPS CAGR

10Y-
5Y-
3Y-
TTM-177.01%

ROCE

10Y Avg-2.7%
5Y Avg-
3Y Avg-
Latest-

Peer Comparison

Commercial Mortgage REITs
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
RCCReady Capital Corporation 5.75%4.04B24.83-9.44-92.98%-15.93%-16.58%3.12
SCCESachem Capital Corp. 6.00% Note1.1B23.40-25.16-107.03%-292.13%-19.05%1.17%1127.83
SCCFSachem Capital Corp. 7.125% Not1.12B23.48-25.2591.85%-328.53%-18.42%1.14%1.66
SCCDSachem Capital Corp. 6.00% Notes Due 20261.14B24.25-26.08-107.03%-292.13%-19.05%1.13%1127.83

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Revenue+57.98M124.94M152.82M158.26M197.87M384.65M296.34M383.33M389.94M27.35M
Revenue Growth %0.17%1.15%0.22%0.04%0.25%0.94%-0.23%0.29%0.02%-0.93%
Property Operating Expenses18.85M65.59M77.01M28.75M000000
Net Operating Income (NOI)+----------
NOI Margin %----------
Operating Expenses+50.85M71.73M86.19M121.49M197.87M384.65M296.34M383.33M389.94M27.35M
G&A Expenses30.93M35.77M65.21M65.52M61.11M102.31M71.74M87.86M96.27M98.74M
EBITDA+-30.97M109.4M180.38M134.13M000000
EBITDA Margin %----------
Depreciation & Amortization+933.81K109.7M232.21M255.62M000000
D&A / Revenue %----------
Operating Income+-31.9M-303K-51.83M-121.49M000000
Operating Margin %----------
Interest Expense+18.85M074.65M109.24M151.88M175.48M213.56M400.77M716.47M696.46M
Interest Coverage-1.69x--0.69x-1.11x------
Non-Operating Income-18.85B55.87M70.7M39.74M000000
Pretax Income+3M65.22M47.65M62.84M64.5M54.45M132.16M175.03M358.42M-516.51M
Pretax Margin %----------
Income Tax+4.42M9.65M1.84M1.39M-10.55M8.38M14.86M15.47M7.17M-104.51M
Effective Tax Rate %----------
Net Income+-1.26M49.17M43.29M59.26M72.97M44.87M157.74M194.26M339.45M-435.75M
Net Margin %----------
Net Income Growth %-1.05%40%-0.12%0.37%0.23%-0.39%2.52%0.23%0.75%-2.28%
Funds From Operations (FFO)+----------
FFO Margin %----------
FFO Growth %-1.01%487.01%0.73%0.14%-0.75%--0.26%0.64%-2.16%
FFO per Share+----------
FFO Payout Ratio %----------
EPS (Diluted)+-0.041.851.381.851.720.811.541.512.23-2.63
EPS Growth %-1.06%46.68%-0.25%0.34%-0.07%-0.53%0.9%-0.02%0.48%-2.18%
EPS (Basic)-0.051.851.381.851.720.812.171.322.26-2.63
Diluted Shares Outstanding31.14M26.65M31.37M32.1M42.05M53.82M68.66M117.19M148.57M170.47M

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Assets+775.14M2.61B2.52B3.04B4.98B5.37B9.53B11.62B12.44B10.14B
Asset Growth %-0.02%2.36%-0.03%0.2%0.64%0.08%0.77%0.22%0.07%-0.18%
Real Estate & Other Assets+560.56M1.77B875.16M1.26B-31.8M-36.59M49.58M136.27M-6.13B-510.69M
PP&E (Net)1.27M-2.61B1.36B24M4.53M3.17M2.4M1.69M2.54M7.36M
Investment Securities1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Total Current Assets+25.17M399.74M81.58M1.49B111.19M41.13M237.4M289.93M272.89M0
Cash & Equivalents20.79M59.57M63.42M54.41M67.93M138.97M229.53M163.04M138.53M143.8M
Receivables01000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Current Assets4.37M001.41B70.55M0-21.58M-10.19B123.26M-391.42M
Intangible Assets53.09M87.49M94.04M120.06M130.28M121.65M219.44M102.57M120.59M165.45M
Total Liabilities597.36M2.05B1.97B2.47B4.13B4.54B8.25B9.72B9.79B8.21B
Total Debt+454.07M1.22B1.78B2.31B3.93B4.12B7.92B9.34B7.24B6.04B
Net Debt433.27M1.16B1.71B2.25B3.86B3.98B6.74B9.03B7.11B5.89B
Long-Term Debt353.3M1.22B1.78B1.82B2.74B3.12B5.81B8.34B7.09B5.7B
Short-Term Borrowings001000K1000K1000K1000K1000K1000K1000K1000K
Capital Lease Obligations00004.62M3.67M3M1.78M8.21M17.81M
Total Current Liabilities+22.13M81.71M86.92M86.86M411.65M569.96M655.96M457.75M345.13M0
Accounts Payable15.1M15.34M15.98M24.83M31.45M27.01M41.38M47.95M41.62M53.33M
Deferred Revenue000-48.69M000000
Other Liabilities803.01M-312.75M86.95M344.67M-2.76B02.51B-6.38B11.27M-5.72B
Total Equity+177.78M552.1M555.47M564.08M844.78M834.21M1.28B1.9B2.65B1.94B
Equity Growth %-0.08%2.11%0.01%0.02%0.5%-0.01%0.54%0.48%0.39%-0.27%
Shareholders Equity159.22M513.1M536.07M544.83M825.41M815.4M1.28B1.8B2.55B1.84B
Minority Interest18.55M39.01M19.39M19.24M19.37M18.81M4.49M99.15M98.46M97.7M
Common Stock7983K3K3K5K5K8K11K17K17K
Additional Paid-in Capital447.09M513.29M539.46M540.48M822.84M849.54M1.16B1.68B2.32B2.25B
Retained Earnings-4.98M-201K-3.38M5.27M8.75M-24.2M8.6M4.99M124.41M-505.09M
Preferred Stock125K005.27M00111.38M119.74M119.74M111.38M
Return on Assets (ROA)-0%0.03%0.02%0.02%0.02%0.01%0.02%0.02%0.03%-0.04%
Return on Equity (ROE)-0.01%0.13%0.08%0.11%0.1%0.05%0.15%0.12%0.15%-0.19%
Debt / Assets0.59%0.47%0.7%0.76%0.79%0.77%0.83%0.8%0.58%0.6%
Debt / Equity2.55x2.21x3.20x4.09x4.65x4.94x6.18x4.92x2.74x3.12x
Net Debt / EBITDA-10.58x9.49x16.79x------
Book Value per Share5.7120.7217.7117.5720.0915.5018.6516.2017.8211.36

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+-23.08M14.76M352.49M140.3M-52.4M68.89M-34.44M359.15M33.07M-51.22M
Operating CF Growth %-3.92%1.64%22.88%-0.6%-1.37%2.31%-1.5%11.43%-0.91%-2.55%
Operating CF / Revenue %----------
Net Income-1.42M55.56M45.81M61.46M75.06M46.07M159.97M203.16M341M-418.49M
Depreciation & Amortization933.81K1.48M14.53M15.47M6.25M016.01M25.07M20.23M19.77M
Stock-Based Compensation00290K447K1.48M5.3M6.92M7.5M00
Other Non-Cash Items-31.31M-16.69M379.79M171.49M-113.75M-53.25M-184.09M176.78M-195.18M482.28M
Working Capital Changes8.72M-25.59M20.28M-12.58M-15.17M70.78M-17.25M-28.29M-132.97M-134.79M
Cash from Investing+45.94M384.69M-242.23M-580.76M-1.21B-59.44M-1.72B-1.56B1.04B1.86B
Acquisitions (Net)1.68M34.93M020.88M-5M0-11.54M123.71M38.71M-44.37M
Purchase of Investments-23.39M-17.39M-54.32M362K-26.66M-37.92M-59.71M-128.24M-37.79M-34.65M
Sale of Investments1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Other Investing2.77M-2.67M-624.36M-1.4B-1.2B-34.01M41.75M-1.77B942.95M1.86B
Cash from Financing+-35.85M-381.46M-106.4M444.48M1.3B63.05M1.88B1.17B-1.09B-1.88B
Dividends Paid-14.24M-46.87M-48.26M-51.32M-63.33M-56.88M-111.92M-187.83M-215.09M-206.06M
Common Dividends-35.61M-46.87M-48.26M-51.32M-63.33M-56.88M-111.92M-187.83M00
Debt Issuance (Net)1000K-1000K-1000K1000K1000K1000K1000K1000K-1000K-1000K
Share Repurchases000-103K0-9.23M-98.24M-36.97M-18.11M-82.25M
Other Financing-2.7M-1.56M-56K63.56M-29.39M-14.47M-63.4M-166.26M35.27M-41.89M
Net Change in Cash+-13M18M3.86M4.02M33.01M72.5M122.85M-26.3M-50.37M5.77M
Exchange Rate Effect00000000-1000K1000K
Cash at Beginning33.79M41.57M59.57M90.95M94.97M127.98M200.48M323.33M218.97M168.59M
Cash at End20.79M59.57M63.42M94.97M127.98M200.48M323.33M297.03M168.59M174.36M
Free Cash Flow+-8.84M80.71M352.49M139.94M-53.29M68.89M-3.74B359.15M33.07M-51.22M
FCF Growth %0.85%10.13%3.37%-0.6%-1.38%2.29%-55.28%1.1%-0.91%-2.55%
FCF / Revenue %----------

Key Ratios

Metric2015201620172018201920202021202220232024
FFO per Share-0.015.968.789.811.880.832.531.872.42-2.44
FFO Payout Ratio-10893.03%29.5%17.52%16.3%79.94%126.78%64.42%85.64%59.8%0%
NOI Margin67.49%47.5%49.61%81.84%100%100%100%100%100%100%
Net Debt / EBITDA-10.58x9.49x16.79x------
Debt / Assets58.58%46.73%70.36%75.96%78.97%76.71%83.06%80.35%58.23%59.51%
Interest Coverage-1.69x--0.69x-1.11x------
Book Value / Share5.7120.7217.7117.5720.0915.518.6516.217.8211.36
Revenue Growth16.71%115.49%22.31%3.56%25.03%94.39%-22.96%29.36%1.72%-92.98%

Frequently Asked Questions

Growth & Financials

Ready Capital Corporation 5.75% (RCC) reported $-9.2M in revenue for fiscal year 2024. This represents a 138% decrease from $24.4M in 2012.

Ready Capital Corporation 5.75% (RCC) saw revenue decline by 93.0% over the past year.

Ready Capital Corporation 5.75% (RCC) reported a net loss of $310.9M for fiscal year 2024.

Dividend & Returns

Yes, Ready Capital Corporation 5.75% (RCC) pays a dividend with a yield of 4.87%. This makes it attractive for income-focused investors.

Ready Capital Corporation 5.75% (RCC) has a return on equity (ROE) of -19.0%. Negative ROE indicates the company is unprofitable.

Industry Metrics

Ready Capital Corporation 5.75% (RCC) generated Funds From Operations (FFO) of $-263.6M in the trailing twelve months. FFO is the primary profitability metric for REITs.

Ready Capital Corporation 5.75% (RCC) offers a 4.87% dividend yield, which is attractive for income investors. REITs are required to distribute at least 90% of taxable income to shareholders.

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