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Earnings Call Summary | Ready Capital(RC.US) Q1 2024 Earnings Conference

Earnings Call Summary | Ready Capital(RC.US) Q1 2024 Earnings Conference

财报电话会议摘要 | Ready Capital (RC.US) 2024 年第一季度财报会议
moomoo AI ·  05/09 17:35  · 电话会议

The following is a summary of the Ready Capital Corporation (RC) Q1 2024 Earnings Call Transcript:

以下是Ready Capital Corporation(RC)2024年第一季度财报电话会议记录的摘要:

Financial Performance:

财务业绩:

  • Ready Capital reported a decrease in book value per share from $14.10 to $13.43 due to valuation allowance on loans held for sale.

  • The company's operating costs improved 2% to $71 million.

  • Its total portfolio of $9.4 billion includes approximately 1,800 loans.

  • Distributable earnings per share were $0.29.

  • Levered yield in the portfolio remained flat quarter-over-quarter at 11.5%.

  • Ready Capital报告称,由于待售贷款的估值补贴,每股账面价值从14.10美元下降至13.43美元。

  • 该公司的运营成本提高了2%,达到7,100万美元。

  • 其94亿美元的总投资组合包括约1,800笔贷款。

  • 每股可分配收益为0.29美元。

  • 该投资组合的杠杆收益率同比持平,为11.5%。

Business Progress:

业务进展:

  • The company plans to increase the levered ROE current yield by reallocating low-yield assets from the M&A portfolio.

  • A strategic rebuilding of the business portfolio is planned to provide additional liquidity for capital solutions.

  • Ready Capital Corporation also plans to reduce its office sector exposure to 3.3% of the portfolio.

  • The company is revamping its financing strategy and considering changing its servicer or moving it in-house.

  • In efforts to clear under-performing assets, a 10% revenue target increase is targeted.

  • The company plans to sell off loans held for sale in the next three months and reposition the resulting capital into new originations or refinanced existing loans.

  • Ready Capital Corporation maintains its repurchase of shares plans, indicating high returns at current levels.

  • The pending sale of GMFS is anticipated and expected to be completed within the next three to four months.

  • Recovery in the latter half of 2024 is expected through initiatives such as fast-tracking strategic bulk sales and lean towards more flexible managed structures for its securities.

  • 该公司计划通过从并购投资组合中重新分配低收益资产来提高杠杆投资回报率的当前收益率。

  • 计划对业务组合进行战略重建,为资本解决方案提供额外的流动性。

  • Ready Capital Corporation还计划将其办公行业的风险敞口减少至投资组合的3.3%。

  • 该公司正在修改其融资战略,并考虑更换服务商或将其迁至内部。

  • 为了清理表现不佳的资产,目标收入增加10%。

  • 该公司计划在未来三个月内出售待售贷款,并将由此产生的资本重新分配到新的发放或对现有贷款进行再融资。

  • Ready Capital Corporation维持其股票回购计划,这表明在当前水平上回报率很高。

  • 预计GMFS的待售将在未来三到四个月内完成。

  • 通过快速跟踪战略批量销售和倾向于更灵活的证券管理结构等举措,预计2024年下半年将实现复苏。

More details: Ready Capital IR

更多详情: Ready Capital

Tips: This article is generated by AI. The accuracy of the content can not be fully guaranteed. For more comprehensive details, please refer to the IR website. The article is only for investors' reference without any guidance or recommendation suggestions.

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