Annual CFO
$54.06 M
-$295.76 M-84.55%
31 December 2023
Summary:
Ready Capital annual cash flow from operations is currently $54.06 million, with the most recent change of -$295.76 million (-84.55%) on 31 December 2023. During the last 3 years, it has fallen by -$14.83 million (-21.53%). RC annual CFO is now -84.66% below its all-time high of $352.49 million, reached on 31 December 2017.RC Cash From Operations Chart
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Quarterly CFO
$221.15 M
+$220.09 M+20822.23%
30 September 2024
Summary:
Ready Capital quarterly cash flow from operations is currently $221.15 million, with the most recent change of +$220.09 million (+20822.23%) on 30 September 2024. Over the past year, it has increased by +$184.92 million (+510.37%). RC quarterly CFO is now at all-time high.RC Quarterly CFO Chart
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TTM CFO
$218.94 M
+$184.92 M+543.53%
30 September 2024
Summary:
Ready Capital TTM cash flow from operations is currently $218.94 million, with the most recent change of +$184.92 million (+543.53%) on 30 September 2024. Over the past year, it has dropped by -$69.51 million (-24.10%). RC TTM CFO is now -43.17% below its all-time high of $385.25 million, reached on 31 March 2018.RC TTM CFO Chart
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RC Cash From Operations Performance
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -84.5% | +510.4% | -24.1% |
3 y3 years | -21.5% | +317.9% | +2018.1% |
5 y5 years | -61.5% | +3322.3% | +466.3% |
RC Cash From Operations High & Low
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3 years | -84.5% | +259.6% | at high | +317.9% | -37.4% | +746.2% |
5 y | 5 years | -84.5% | +203.2% | at high | +317.9% | -37.4% | +242.7% |
alltime | all time | -84.7% | +121.0% | at high | +185.2% | -43.2% | +175.8% |
Ready Capital Cash From Operations History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Sept 2024 | - | $221.15 M(>+9900.0%) | $218.94 M(+543.5%) |
June 2024 | - | $1.06 M(-95.5%) | $34.02 M(-56.6%) |
Mar 2024 | - | $23.45 M(-187.8%) | $78.42 M(+45.1%) |
Dec 2023 | $54.06 M(-84.5%) | -$26.72 M(-173.7%) | $54.06 M(-81.3%) |
Sept 2023 | - | $36.23 M(-20.3%) | $288.44 M(-8.5%) |
June 2023 | - | $45.46 M(-5111.7%) | $315.19 M(-5.7%) |
Mar 2023 | - | -$907.00 K(-100.4%) | $334.17 M(-4.5%) |
Dec 2022 | $349.82 M(-1132.5%) | $207.66 M(+229.8%) | $349.82 M(+85.2%) |
Sept 2022 | - | $62.97 M(-2.3%) | $188.84 M(+674.9%) |
June 2022 | - | $64.44 M(+337.1%) | $24.37 M(-21.5%) |
Mar 2022 | - | $14.74 M(-68.4%) | $31.06 M(-191.7%) |
Dec 2021 | -$33.88 M(-149.2%) | $46.69 M(-146.0%) | -$33.88 M(+196.8%) |
Sept 2021 | - | -$101.50 M(-242.7%) | -$11.41 M(-127.3%) |
June 2021 | - | $71.13 M(-241.7%) | $41.80 M(-64.8%) |
Mar 2021 | - | -$50.20 M(-172.6%) | $118.70 M(+72.3%) |
Dec 2020 | $68.89 M(-231.5%) | $69.15 M(-243.2%) | $68.89 M(+464.1%) |
Sept 2020 | - | -$48.29 M(-132.6%) | $12.21 M(-77.2%) |
June 2020 | - | $148.04 M(-248.0%) | $53.64 M(-135.0%) |
Mar 2020 | - | -$100.01 M(-901.8%) | -$153.47 M(+192.9%) |
Dec 2019 | -$52.40 M(-137.3%) | $12.47 M(-281.7%) | -$52.40 M(-12.3%) |
Sept 2019 | - | -$6.86 M(-88.4%) | -$59.78 M(-348.4%) |
June 2019 | - | -$59.06 M(-5693.1%) | $24.07 M(-74.2%) |
Mar 2019 | - | $1.06 M(-79.3%) | $93.13 M(-33.6%) |
Dec 2018 | $140.30 M | $5.09 M(-93.4%) | $140.30 M(-41.4%) |
Sept 2018 | - | $76.98 M(+669.8%) | $239.49 M(+30.0%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
June 2018 | - | $10.00 M(-79.3%) | $184.23 M(-52.2%) |
Mar 2018 | - | $48.22 M(-53.8%) | $385.25 M(+9.3%) |
Dec 2017 | $352.49 M(+2287.7%) | $104.28 M(+380.0%) | $352.49 M(+39.5%) |
Sept 2017 | - | $21.73 M(-89.7%) | $252.60 M(+10.2%) |
June 2017 | - | $211.02 M(+1265.3%) | $229.28 M(+582.7%) |
Mar 2017 | - | $15.46 M(+251.9%) | $33.59 M(+127.5%) |
Dec 2016 | $14.76 M(-49.0%) | $4.39 M(-375.5%) | $14.76 M(-73.0%) |
Sept 2016 | - | -$1.59 M(-110.4%) | $54.68 M(+4.5%) |
June 2016 | - | $15.33 M(-555.4%) | $52.32 M(-6.0%) |
Mar 2016 | - | -$3.37 M(-107.6%) | $55.65 M(+92.4%) |
Dec 2015 | $28.93 M(-111.3%) | $44.31 M(-1220.7%) | $28.93 M(-110.5%) |
Sept 2015 | - | -$3.95 M(-121.2%) | -$274.84 M(+3.0%) |
June 2015 | - | $18.66 M(-162.0%) | -$266.73 M(-7.7%) |
Mar 2015 | - | -$30.08 M(-88.4%) | -$288.83 M(+12.4%) |
Dec 2014 | -$257.07 M(-3261.5%) | -$259.46 M(-6340.8%) | -$257.07 M(-4951.0%) |
Sept 2014 | - | $4.16 M(-220.9%) | $5.30 M(+87.6%) |
June 2014 | - | -$3.44 M(-306.3%) | $2.82 M(-70.8%) |
Mar 2014 | - | $1.67 M(-42.8%) | $9.67 M(+18.9%) |
Dec 2013 | $8.13 M(+209.4%) | $2.91 M(+73.3%) | $8.13 M(+71.1%) |
Sept 2013 | - | $1.68 M(-50.6%) | $4.75 M(+3.8%) |
June 2013 | - | $3.41 M(+2539.8%) | $4.58 M(+137.6%) |
Mar 2013 | - | $129.00 K(-127.8%) | $1.93 M(-26.7%) |
Dec 2012 | $2.63 M | -$464.40 K(-130.8%) | $2.63 M(-15.0%) |
Sept 2012 | - | $1.51 M(+100.1%) | $3.09 M(+95.2%) |
June 2012 | - | $753.90 K(-9.2%) | $1.58 M(+90.8%) |
Mar 2012 | - | $830.20 K | $830.20 K |
FAQ
- What is Ready Capital annual cash flow from operations?
- What is the all time high annual CFO for Ready Capital?
- What is Ready Capital annual CFO year-on-year change?
- What is Ready Capital quarterly cash flow from operations?
- What is the all time high quarterly CFO for Ready Capital?
- What is Ready Capital quarterly CFO year-on-year change?
- What is Ready Capital TTM cash flow from operations?
- What is the all time high TTM CFO for Ready Capital?
- What is Ready Capital TTM CFO year-on-year change?
What is Ready Capital annual cash flow from operations?
The current annual CFO of RC is $54.06 M
What is the all time high annual CFO for Ready Capital?
Ready Capital all-time high annual cash flow from operations is $352.49 M
What is Ready Capital annual CFO year-on-year change?
Over the past year, RC annual cash flow from operations has changed by -$295.76 M (-84.55%)
What is Ready Capital quarterly cash flow from operations?
The current quarterly CFO of RC is $221.15 M
What is the all time high quarterly CFO for Ready Capital?
Ready Capital all-time high quarterly cash flow from operations is $221.15 M
What is Ready Capital quarterly CFO year-on-year change?
Over the past year, RC quarterly cash flow from operations has changed by +$184.92 M (+510.37%)
What is Ready Capital TTM cash flow from operations?
The current TTM CFO of RC is $218.94 M
What is the all time high TTM CFO for Ready Capital?
Ready Capital all-time high TTM cash flow from operations is $385.25 M
What is Ready Capital TTM CFO year-on-year change?
Over the past year, RC TTM cash flow from operations has changed by -$69.51 M (-24.10%)