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Ready Capital Corp

RCNYSE

Built from Ready Capital Corp's own SEC filings · updates as new filings land · sources cited throughout

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Net income increased 48.6% to ($221.1M), while Operating cash flow increased 57.2% to $432.1M.

The read at a glance✓ Audited against SEC data
  • ScaleFY2025 revenue N/AWatch
  • ProfitabilityNet income ($221.1M)Watch
  • Cash generationFree cash flow N/ANote
  • AccountingNo applicable forensic screenNote
  • Insiders2 buys; 0 sells in 365 daysOK
  • Capitaldividends paid were $113.3M; share repurchases were $67.6MNote

Business

Ready Capital Corp: ("Funding Circle"), and our increased scale; risks associated with the completed divestiture of our Residential Mortgage Banking segment ; market, industry and economic trends; our ability to compete in the marketplace; the availability of attractive risk-adjusted investment opportunities in lower-to-middle-market commercial real estate loans ("LMM"), loans guaranteed by the U.S.

Latest filings

  • 10-Q · Quarterly report2026-08-07
  • 8-K · Company announcement2026-08-06
  • 8-K · Company announcement2026-07-23
  • DEF 14A · Annual proxy (pay & governance)2026-06-01
  • 10-Q · Quarterly report2026-05-08
In the full recordFree for 14 days
  • What changed🔒
  • Insider signal🔒
  • Growth quality🔒
  • Margins & accounting🔒
  • Capital allocation🔒
  • Real risks🔒
  • The long arc🔒
  • Company history🔒
  • The filings, readable — with what changed vs the prior year highlighted🔒
  • Full financial statements, industry-aware, sources cited throughout🔒
  • Forensic score history & components — the trend, not one year🔒
  • Ownership: insider buys/sells, clusters, activist stakes🔒
  • Ana — ask about Ready Capital Corp, every answer cited to the official filings🔒

Every figure comes from the company's filings, and analysis whose figures don't match SEC data is rejected before publication.

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