v3.25.2
Condensed Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
ASSETS    
CMBS, at fair value $ 361,884 $ 300,243
Cash and cash equivalents 40,500 40,762
Restricted cash 3,867 2,131
Principal and interest receivable 6,836 8,141
TBA securities and interest rate futures contracts - at fair value 0 1,515
Other assets 38,015 36,918
Total assets 2,554,488 2,269,769
LIABILITIES    
Notes payable 118,619 129,459
Securities sold under agreements to repurchase 68,062 50,555
Senior unsecured notes 88,601 47,740
TBA securities and interest rate futures contracts - at fair value 4,355 0
Due to broker 254,228 201,994
Interest payable 2,258 934
Income taxes payable 163 2,785
Total liabilities 2,308,099 2,030,802
STOCKHOLDERS' EQUITY    
Common stock, $0.01 par value. As of June 30, 2025: 350,000,000 shares authorized, 23,765,202 shares issued and outstanding. As of December 31, 2024: 350,000,000 shares authorized, 23,500,175 shares issued and outstanding. 238 234
Additional paid-in capital 463,580 461,057
Accumulated other comprehensive income (loss) (4,661) (3,475)
Retained earnings (deficit) (212,768) (218,849)
Total stockholders' equity 246,389 238,967
Total liabilities and stockholders' equity $ 2,554,488 $ 2,269,769
Common stock issued (shares) 23,765,202 23,500,175
Common stock outstanding (shares) 23,765,202 23,500,175
Nonrelated Party    
LIABILITIES    
Accrued expenses $ 2,812 $ 2,291
Affiliates    
LIABILITIES    
Accrued expenses 393 766
Management fee payable to affiliate 679 666
Non-recourse    
LIABILITIES    
Non-recourse securitization obligation, collateralized by residential mortgage loans in securitization trusts (see Note 2) 1,767,929 1,593,612
Residential mortgage loans - at fair value    
ASSETS    
Mortgage loans 200,665 183,064
Residential mortgage loans in securitization trusts - at fair value    
ASSETS    
Mortgage loans $ 1,902,721 $ 1,696,995