US Stock MarketDetailed Quotes

RPT Rithm Property Trust Inc

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  • 2.750
  • +0.010+0.36%
Close Apr 24 16:00 ET
  • 2.750
  • 0.0000.00%
Post 20:01 ET
133.89MMarket Cap-1.20P/E (TTM)

Rithm Property Trust Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold
21.61%64.25M
21.61%64.25M
31.46%84.02M
78.65%72.03M
102.55%100.05M
10.43%52.83M
10.43%52.83M
-12.33%63.91M
-28.38%40.32M
-34.77%49.4M
-Cash and cash equivalents
21.61%64.25M
21.61%64.25M
31.46%84.02M
78.65%72.03M
102.55%100.05M
10.43%52.83M
10.43%52.83M
-12.33%63.91M
-21.83%40.32M
-30.15%49.4M
Receivables
----
----
----
-52.17%3.59M
-55.93%4.24M
----
----
9.88%9.67M
-35.34%7.51M
-49.76%9.62M
-Other receivables
----
----
----
-52.17%3.59M
-55.93%4.24M
----
----
9.88%9.67M
-35.34%7.51M
-49.76%9.62M
Net loan
-53.94%423.84M
-53.94%423.84M
-53.75%434.37M
-45.62%522.78M
-16.86%806.99M
-6.96%920.27M
-6.96%920.27M
-6.69%939.08M
-6.09%961.28M
-8.73%970.67M
-Gross loan
-54.11%423.84M
-54.11%423.84M
-54.11%434.37M
-45.95%522.78M
-17.19%807.39M
-7.19%923.67M
-7.19%923.67M
-5.95%946.48M
-5.50%967.28M
-8.32%974.97M
-Allowance for loans and lease losses
--0
--0
----
--0
-90.70%400K
-44.26%3.4M
-44.26%3.4M
--7.4M
--6M
--4.3M
Securities and investments
60.61%474.45M
60.61%474.45M
5.02%324.71M
-18.86%276.93M
-24.78%267.79M
-24.57%295.41M
-24.57%295.41M
-19.79%309.18M
-22.68%341.28M
-23.78%356M
-Available for sale securities
14.84%119.62M
14.84%119.62M
-5.16%110.91M
-30.76%88.27M
-34.68%88.58M
-22.59%104.16M
-22.59%104.16M
-69.66%116.95M
-71.12%127.47M
-70.96%135.61M
-Held to maturity securities
-22.86%46.04M
-22.86%46.04M
-22.95%47.14M
-32.99%48.05M
-26.82%54.09M
--59.69M
--59.69M
--61.19M
--71.71M
--73.91M
-Short term investments
134.71%308.78M
134.71%308.78M
27.18%166.65M
-1.05%140.61M
-14.58%125.13M
-48.82%131.56M
-48.82%131.56M
--131.04M
--142.1M
--146.48M
Long term equity investment
----
----
----
-17.51%24.77M
-7.40%28.3M
----
----
-5.86%29.13M
-5.45%30.03M
-6.19%30.56M
Foreclosed assets
----
----
----
15.06%4.31M
1.94%5.19M
----
----
-33.49%4.04M
-49.62%3.75M
-22.68%5.09M
Other assets
-78.16%14.8M
-78.16%14.8M
-22.86%15.06M
-67.02%7.1M
74.26%31.9M
468.84%67.78M
468.84%67.78M
19.09%19.52M
69.46%21.53M
-14.13%18.3M
Total assets
-26.86%977.34M
-26.86%977.34M
-37.57%858.15M
-35.16%911.52M
-13.56%1.24B
-9.98%1.34B
-9.98%1.34B
-9.98%1.37B
-11.30%1.41B
-14.61%1.44B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase
-5.10%356.57M
-5.10%356.57M
-40.96%231.46M
-40.33%246.5M
-15.43%354.04M
-15.72%375.75M
-15.72%375.75M
-15.38%392.02M
-18.92%413.13M
-19.89%418.65M
Payables
----
----
----
-21.36%1.57M
6.85%1.95M
----
----
-0.36%1.94M
-9.83%2M
-24.67%1.83M
-Other payable
----
----
----
-21.36%1.57M
6.85%1.95M
----
----
-0.36%1.94M
-9.83%2M
-24.67%1.83M
Long term debt and capital lease obligation
-41.12%366M
-41.12%366M
-41.05%374.21M
-40.82%383.67M
-8.14%610.27M
-8.26%621.57M
-8.26%621.57M
-8.27%634.8M
6.65%648.33M
3.69%664.37M
-Long term debt
-41.12%366M
-41.12%366M
-41.05%374.21M
-40.82%383.67M
-8.14%610.27M
-8.26%621.57M
-8.26%621.57M
-8.27%634.8M
6.65%648.33M
3.69%664.37M
Derivative product liabilities
--0
--0
--0
--0
-85.09%2.05M
36.95%16.64M
36.95%16.64M
50.67%16.16M
-37.13%15.61M
-48.73%13.78M
Other liabilities
-29.99%8.01M
-29.99%8.01M
-25.91%5.39M
158.61%25.29M
135.24%19.9M
17.57%11.44M
17.57%11.44M
-3.08%7.27M
113.21%9.78M
46.42%8.46M
Total liabilities
-28.75%730.57M
-28.75%730.57M
-41.92%611.06M
-39.66%657.04M
-10.74%988.22M
-10.60%1.03B
-10.60%1.03B
-10.49%1.05B
-5.24%1.09B
-7.62%1.11B
Shareholders'equity
Share capital
-98.65%471K
-98.65%471K
-98.66%466K
-98.66%466K
-98.91%380K
0.13%34.84M
0.13%34.84M
0.09%34.82M
-62.67%34.8M
-69.84%34.8M
-common stock
65.26%471K
65.26%471K
73.88%466K
88.66%466K
55.10%380K
18.26%285K
18.26%285K
14.04%268K
5.56%247K
4.70%245K
-Preferred stock
--0
--0
--0
--0
--0
0.00%34.55M
0.00%34.55M
0.00%34.55M
-62.84%34.55M
-69.99%34.55M
Paid-in capital
20.73%425.04M
20.73%425.04M
24.28%423.62M
29.92%423.9M
25.59%408.73M
9.19%352.06M
9.19%352.06M
7.43%340.86M
3.01%326.28M
2.89%325.46M
Retained earnings
-190.54%-158M
-190.54%-158M
-461.57%-158.13M
-752.68%-147.36M
-24,238.24%-132.4M
-509.66%-54.38M
-509.66%-54.38M
-206.76%-28.16M
-135.41%-17.28M
-100.85%-544K
Less: Treasury stock
21.31%11.59M
21.31%11.59M
21.31%11.59M
0.00%9.56M
0.26%9.56M
0.26%9.56M
0.26%9.56M
42.75%9.56M
45.31%9.56M
427.21%9.53M
Gains losses not affecting retained earnings
35.90%-8.99M
35.90%-8.99M
53.31%-8.28M
28.85%-13.9M
34.94%-12.86M
45.31%-14.03M
45.31%-14.03M
20.91%-17.73M
-4.46%-19.53M
-125.66%-19.76M
Total stockholders'equity
-20.07%246.92M
-20.07%246.92M
-23.15%246.09M
-19.43%253.55M
-23.04%254.3M
-7.87%308.93M
-7.87%308.93M
-8.33%320.24M
-27.41%314.71M
-31.89%330.42M
Non controlling interests
-107.85%-154K
-107.85%-154K
-52.60%1M
-56.36%929K
-9.10%1.94M
-8.19%1.96M
-8.19%1.96M
-2.67%2.12M
-6.38%2.13M
-9.81%2.13M
Total equity
-20.63%246.77M
-20.63%246.77M
-23.35%247.09M
-19.68%254.48M
-22.95%256.24M
-7.87%310.9M
-7.87%310.9M
-8.29%322.35M
-27.30%316.84M
-31.78%332.56M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold 21.61%64.25M21.61%64.25M31.46%84.02M78.65%72.03M102.55%100.05M10.43%52.83M10.43%52.83M-12.33%63.91M-28.38%40.32M-34.77%49.4M
-Cash and cash equivalents 21.61%64.25M21.61%64.25M31.46%84.02M78.65%72.03M102.55%100.05M10.43%52.83M10.43%52.83M-12.33%63.91M-21.83%40.32M-30.15%49.4M
Receivables -------------52.17%3.59M-55.93%4.24M--------9.88%9.67M-35.34%7.51M-49.76%9.62M
-Other receivables -------------52.17%3.59M-55.93%4.24M--------9.88%9.67M-35.34%7.51M-49.76%9.62M
Net loan -53.94%423.84M-53.94%423.84M-53.75%434.37M-45.62%522.78M-16.86%806.99M-6.96%920.27M-6.96%920.27M-6.69%939.08M-6.09%961.28M-8.73%970.67M
-Gross loan -54.11%423.84M-54.11%423.84M-54.11%434.37M-45.95%522.78M-17.19%807.39M-7.19%923.67M-7.19%923.67M-5.95%946.48M-5.50%967.28M-8.32%974.97M
-Allowance for loans and lease losses --0--0------0-90.70%400K-44.26%3.4M-44.26%3.4M--7.4M--6M--4.3M
Securities and investments 60.61%474.45M60.61%474.45M5.02%324.71M-18.86%276.93M-24.78%267.79M-24.57%295.41M-24.57%295.41M-19.79%309.18M-22.68%341.28M-23.78%356M
-Available for sale securities 14.84%119.62M14.84%119.62M-5.16%110.91M-30.76%88.27M-34.68%88.58M-22.59%104.16M-22.59%104.16M-69.66%116.95M-71.12%127.47M-70.96%135.61M
-Held to maturity securities -22.86%46.04M-22.86%46.04M-22.95%47.14M-32.99%48.05M-26.82%54.09M--59.69M--59.69M--61.19M--71.71M--73.91M
-Short term investments 134.71%308.78M134.71%308.78M27.18%166.65M-1.05%140.61M-14.58%125.13M-48.82%131.56M-48.82%131.56M--131.04M--142.1M--146.48M
Long term equity investment -------------17.51%24.77M-7.40%28.3M---------5.86%29.13M-5.45%30.03M-6.19%30.56M
Foreclosed assets ------------15.06%4.31M1.94%5.19M---------33.49%4.04M-49.62%3.75M-22.68%5.09M
Other assets -78.16%14.8M-78.16%14.8M-22.86%15.06M-67.02%7.1M74.26%31.9M468.84%67.78M468.84%67.78M19.09%19.52M69.46%21.53M-14.13%18.3M
Total assets -26.86%977.34M-26.86%977.34M-37.57%858.15M-35.16%911.52M-13.56%1.24B-9.98%1.34B-9.98%1.34B-9.98%1.37B-11.30%1.41B-14.61%1.44B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase -5.10%356.57M-5.10%356.57M-40.96%231.46M-40.33%246.5M-15.43%354.04M-15.72%375.75M-15.72%375.75M-15.38%392.02M-18.92%413.13M-19.89%418.65M
Payables -------------21.36%1.57M6.85%1.95M---------0.36%1.94M-9.83%2M-24.67%1.83M
-Other payable -------------21.36%1.57M6.85%1.95M---------0.36%1.94M-9.83%2M-24.67%1.83M
Long term debt and capital lease obligation -41.12%366M-41.12%366M-41.05%374.21M-40.82%383.67M-8.14%610.27M-8.26%621.57M-8.26%621.57M-8.27%634.8M6.65%648.33M3.69%664.37M
-Long term debt -41.12%366M-41.12%366M-41.05%374.21M-40.82%383.67M-8.14%610.27M-8.26%621.57M-8.26%621.57M-8.27%634.8M6.65%648.33M3.69%664.37M
Derivative product liabilities --0--0--0--0-85.09%2.05M36.95%16.64M36.95%16.64M50.67%16.16M-37.13%15.61M-48.73%13.78M
Other liabilities -29.99%8.01M-29.99%8.01M-25.91%5.39M158.61%25.29M135.24%19.9M17.57%11.44M17.57%11.44M-3.08%7.27M113.21%9.78M46.42%8.46M
Total liabilities -28.75%730.57M-28.75%730.57M-41.92%611.06M-39.66%657.04M-10.74%988.22M-10.60%1.03B-10.60%1.03B-10.49%1.05B-5.24%1.09B-7.62%1.11B
Shareholders'equity
Share capital -98.65%471K-98.65%471K-98.66%466K-98.66%466K-98.91%380K0.13%34.84M0.13%34.84M0.09%34.82M-62.67%34.8M-69.84%34.8M
-common stock 65.26%471K65.26%471K73.88%466K88.66%466K55.10%380K18.26%285K18.26%285K14.04%268K5.56%247K4.70%245K
-Preferred stock --0--0--0--0--00.00%34.55M0.00%34.55M0.00%34.55M-62.84%34.55M-69.99%34.55M
Paid-in capital 20.73%425.04M20.73%425.04M24.28%423.62M29.92%423.9M25.59%408.73M9.19%352.06M9.19%352.06M7.43%340.86M3.01%326.28M2.89%325.46M
Retained earnings -190.54%-158M-190.54%-158M-461.57%-158.13M-752.68%-147.36M-24,238.24%-132.4M-509.66%-54.38M-509.66%-54.38M-206.76%-28.16M-135.41%-17.28M-100.85%-544K
Less: Treasury stock 21.31%11.59M21.31%11.59M21.31%11.59M0.00%9.56M0.26%9.56M0.26%9.56M0.26%9.56M42.75%9.56M45.31%9.56M427.21%9.53M
Gains losses not affecting retained earnings 35.90%-8.99M35.90%-8.99M53.31%-8.28M28.85%-13.9M34.94%-12.86M45.31%-14.03M45.31%-14.03M20.91%-17.73M-4.46%-19.53M-125.66%-19.76M
Total stockholders'equity -20.07%246.92M-20.07%246.92M-23.15%246.09M-19.43%253.55M-23.04%254.3M-7.87%308.93M-7.87%308.93M-8.33%320.24M-27.41%314.71M-31.89%330.42M
Non controlling interests -107.85%-154K-107.85%-154K-52.60%1M-56.36%929K-9.10%1.94M-8.19%1.96M-8.19%1.96M-2.67%2.12M-6.38%2.13M-9.81%2.13M
Total equity -20.63%246.77M-20.63%246.77M-23.35%247.09M-19.68%254.48M-22.95%256.24M-7.87%310.9M-7.87%310.9M-8.29%322.35M-27.30%316.84M-31.78%332.56M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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