v3.26.1
UNAUDITED CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Assets    
Cash and cash equivalents $ 124,149 $ 207,841
Restricted cash 50,182 39,746
Loans, net (including $388 and $737 held at fair value) 3,409,500 3,500,298
Loans, held for sale (including $61,314 and $73,094 held at fair value and net of valuation allowance of $70,867 and $67,612) 278,214 585,820
Mortgage-backed securities 31,587 34,501
Investment in unconsolidated joint ventures (including $5,294 and $5,737 held at fair value) 165,658 161,424
Derivative instruments 3,096 6,740
Servicing rights 117,463 126,279
Real estate owned 572,850 620,225
Other assets 466,161 508,238
Assets of consolidated VIEs 1,045,056 1,978,684
Total Assets 6,263,916 7,769,796
Liabilities    
Senior secured notes, net 723,915 722,729
Corporate debt, net 470,372 652,487
Guaranteed loan financing 950,103 524,091
Contingent consideration 22,265 18,698
Derivative instruments 60 1,432
Dividends payable 3,665 3,633
Loan participations sold 56,616 56,616
Due to third parties 5,408 3,135
Accounts payable and other accrued liabilities 165,620 171,636
Total Liabilities 4,913,679 6,118,168
Preferred stock Series C, liquidation preference $25.00 per share (refer to Note 20) 8,361 8,361
Commitments & contingencies (refer to Note 24)
Stockholders’ Equity    
Preferred stock Series E, liquidation preference $25.00 per share (refer to Note 20) 111,378 111,378
Common stock, $0.0001 par value, 500,000,000 shares authorized, 165,209,516 and 163,010,012 shares issued and outstanding, respectively 17 17
Additional paid-in capital 2,267,394 2,264,355
Retained deficit (1,118,135) (807,522)
Accumulated other comprehensive loss (21,448) (24,196)
Total Ready Capital Corporation equity 1,239,206 1,544,032
Non-controlling interests 102,670 99,235
Total Stockholders’ Equity 1,341,876 1,643,267
Total Liabilities, Redeemable Preferred Stock, and Stockholders’ Equity 6,263,916 7,769,796
Consolidated Excluding VIEs    
Assets    
Loans, held for sale (including $61,314 and $73,094 held at fair value and net of valuation allowance of $70,867 and $67,612) 278,214 585,820
Liabilities    
Secured borrowings and Securitized debt obligations of consolidated VIEs, net 1,876,713 2,788,926
Consolidated VIEs    
Assets    
Cash and cash equivalents 5 3
Restricted cash 3,420 1,944
Loans, held for sale (including $61,314 and $73,094 held at fair value and net of valuation allowance of $70,867 and $67,612) 0 125,107
Real estate owned 15,288 15,288
Assets of consolidated VIEs 1,045,056 1,978,684
Liabilities    
Secured borrowings and Securitized debt obligations of consolidated VIEs, net 638,942 1,174,785
Due to third parties 2,506 2,517
Accounts payable and other accrued liabilities 1,048 0
Total Liabilities $ 642,496 $ 1,177,302