Redwood Trust, Inc.

NYSE:RWT

7.99 (USD) • At close September 18, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst -6.273-163.52319.613-581.847169.183119.6140.406131.252102.088100.569173.246131.76926.343110.05239.195-444.386-1,108.637127.532199.872232.635132.39456.61732.88718.9341.7-27.327.612.73.20.4
Afschrijvingen & Amortisatie 27.28415.92216.78417.36510.1331.3081.2131.140.8240.5130.3881.8731.7130.8851.2821.169-60.189-60.498-74.63-87.014-12.3759.9611.2264.176.83227.160.1-0.1
Uitgestelde Inkomstenbelasting -73.63016.973-134.235-94.94610.387-41.555-68.899-130.219-81.87-12.271-107.5983.4871.323-1.2025.267-3.397-0.0945.188-10.572-47.133-5.2700000000
Aandelen Gebaseerde Vergoedingen 19.06223.9418.90215.29814.95713.73610.37812.64811.80611.27113.5479.8429.10811.5226.17112.63414.4794.2854.28500.4570.15900000000
Verandering in Werkkapitaal -51.49-36.593-22.868232.874-78.708-20.769-22.38246.204-82.18-60.45341.27745.271-32.725-37.00194.87242.032-69.965-2.1886.8511.898-12.10610.2482.506-4.749-0.22.4-7.2-1,973-2-0.4
Vorderingen -41.15642.585-64.835301.381-83.21-41.849-17.56242.572-88.173-57.68512.0018.762-2.7293.6870000000000000000
Voorraden 51.4936.59322.868-232.87478.7082,430.6171,943.264727.061,991.0631,922.868943.827553.92-6.2-57.5230000000000000000
Crediteuren -10.334-79.17841.967-68.5074.50221.08-4.823.6325.993-2.76829.27636.50915.82311.576-10.585-13.94700000000000000
Overig Werkkapitaal -51.49-36.593-22.868232.874-78.708-2,430.617-1,943.264-727.06-1,991.063-1,922.868-943.827-553.92-39.6195.259105.45755.979-69.965-2.1886.8511.898-12.10610.2482.506-4.749-0.22.4-7.2-1,97300
Overige Niet-Contante Posten -1,930.77821.111-6,043.969-54.922-1,186.196-1,735.995-1,801.223-667.998-1,152.529-1,761.163-438.016-531.3849.884-56.88869.763528.3081,261.477-0.086-46.16318.038.001-1,129.127-418.585565.72469.71,149.82.31,974.80.30
Kasstroom uit Operationele Activiteiten -2,015.825-139.14-5,694.565-505.467-1,165.577-1,611.733-1,713.163-545.653-1,250.21-1,791.133-221.829-450.22717.8129.893210.081145.02433.76868.95195.40395.8569.238-1,057.413-371.966584.079781,156.949.820.51.6-0.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 00001,260.789-25.489-0.643-15.338-32.388-46.113-3.1060000000000000000000
Netto Overnames 0-40.63600-451.62625.4890.64315.33832.38846.1133.1060000000000000000000
Aankoop van Beleggingen -9.855-263.224-398.773-292.045-711.16-1,340.441-600.875-318.268-179.265-168.654-488.598-507.744-1,088.58-278.794-752.839-316.659-1,326.956-1,322.261-995.298-879.682-714.633-386.444-313.757-465.51-17.7-1,827.8-979000
Verkoop/verval van Beleggingen 200.813177.797184.739793.636995.536761.47306.198577.246578.123678.995384.486425.047663.489545.394460.529260.61715.15606.66710,714.5774,000.369275.285240.97143.604230.951311.31,297.4772.4000
Overige Investeringsactiviteiten 717.762339.9491,618.133,568.823-67.677566.219581.5341,074.683464.387230.243455.448806.0099.537-151.367352.7241,226.1032,065.6474,487.691-1,601.629-10,102.761-10,067.258-3,198.477336.3327.117-2.4-17-1,066.2-1,728.9-316.8-121.9
Kasstroom uit Investeringsactiviteiten 908.72213.8861,404.0964,070.4141,025.862-12.752286.8571,333.661863.245740.584351.336723.312-415.554115.23360.4141,170.0541,453.8413,772.0978,117.65-6,982.074-10,506.606-3,343.9566.179-227.442291.2-547.4-1,272.8-1,728.9-316.8-121.9
Financieringsactiviteiten:
Schuldaflossingen -1,060.93-972.849-14,815.899-1,309.865-8,317.933-7,170.435-4,241.797-5,361.044-483.889-7,840.255-247.433-2,018.011-806.141-464.373-524.21-1,413.39-3,812.007-7,025.232-10,217.882-3,849.363-1,467.929-511.258-307.999-225.434-359.5-502.6-112.8000
Uitgifte van Gewone Aandelen 191.42268.03521.9445.881450.71142.6010.3020.3047.3019.5118.66736.7646.0133.966519.24934.804189.91846.86746.867066.889.86400000000
Terugkoop van Gewone Aandelen 0.005-58.94319,162.482-25.9458,236.745-16.315-8.417-28.073-94.2689,091.02401,632.532-6.988255.315-0.004-6.1822,423.4313,300.7812,245.230-66.84,896.07500000000
Uitgekeerde Dividenden -93.575-111.673-91.672-83.985-129.452-96.802-88.299-88.465-94.871-95.273-94.414-82.278-100.686-79.888-81.771-102.895-144.231-157.566-147.298-196.639-138.348-43.179-26.031-14.531-4.1-8.9-31.2-11.4-2.1-0.2
Overige Financieringsactiviteiten 2,109.607-1,079.0990.648-1,891.535-14.5998,823.7065,696.3364,681.88542.714-17.929304.46-28.1881,525.785-56.027-67.4218.702-22.373-13.767-21.33110,931.00512,062.943-0.001633.364-121.071-41.3-67.21,380.81,726321.1123.2
Kasstroom uit Financieringsactiviteiten 1,146.529-276.8664,277.503-3,311.33225.4711,682.7551,358.125-795.393337.4641,147.078-37.387-459.181617.983-341.007-154.157-1,478.961-1,365.262-3,848.917-8,094.4146,885.00310,456.6664,431.501299.334-361.036-404.9-578.71,236.81,714.6319123
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000.00100.0010-609.51,2231,708.4315.2122
Netto Kasstroomverandering 39.424-202.12-12.966253.61785.75658.27-68.181-7.385-49.50196.52992.121-186.096220.239-195.881116.338-163.883122.347-7.869118.639-1.22119.29830.139-6.453-4.398-35.7-578.71,236.81,714.6319123
Kaspositie aan het Einde van de Periode 368.788329.364531.484544.45290.833205.077144.663212.844220.229269.73173.20181.08267.17646.937242.818126.48290.363168.016175.88557.24658.46739.1699.0315.48319.9-553.81,247.91,719.4320123