Great Ajax Corp. (AJX) Q3 2024 Earnings Call Transcript Summary
Great Ajax Corp. (AJX) Q3 2024 Earnings Call Transcript Summary
The following is a summary of the Great Ajax Corp. (AJX) Q3 2024 Earnings Call Transcript:
以下是 great ajax corp. (AJX) 2024年第三季度业绩会议呼叫交易稿总结:
Financial Performance:
金融业绩:
Great Ajax Corp reports a GAAP net income loss of $8 million or $0.18 per diluted share for Q3.
Earnings available for distribution were negative $5.4 million or $0.12 per diluted share.
Declared a dividend in the third quarter of $0.06.
Cash and equivalents on the balance sheet amounted to $84 million with $30 million available for investment and maintaining a roughly $50 million reserve.
Great Ajax Corp 报告了第三季度每股摊薄净收益亏损 800万美元,每股亏损 0.18 美元。
可供分配的盈利为负 540万美元,每股摊薄盈利为 0.12 美元。
在第三季度宣布派息 0.06 美元。
资产负债表上的现金及现金等价物总额为 8400万美元,可用于投资和保持约 3000万美元的大约 5000万美元的储备。
Business Progress:
业务进展:
Unwound $85 million of residential mortgage loans generating around $18 million in cash.
Sold 62.7 million of residential securities, which generated $14 million of cash.
Closed in $100 million notional amount of AAA CMBS at approximately a 12% levered return.
Aiming for breakeven before dividends by the end of Q1 next year.
The company plans to change its name from Great Ajax to Rithm Property Trust in the fourth quarter.
回笼 8500万美元的住房抵押贷款,产生约 1800万美元现金。
出售了6270万套住宅证券,带来了1400万现金。
以大约12%的杠杆回报率以$10000万的面额收购AAA评级的抵押支持证券。
旨在在明年第一季度结束前实现派息前的收支平衡。
公司计划在第四季度将其名称从great ajax corp更改为rithm property trust。
Opportunities:
机会:
Entered bids on $1 billion of assorted commercial real estate loans as part of a strategy to redeploy capital into cash flowing assets.
Significant potential identified in managing out of banks' workout groups, which is becoming a focused area due to the recalibration of bank lending against distressed assets.
作为将资本重新投入现金流资产的策略的一部分,对10亿美元的各种商业房地产贷款进行了竞标。
在银行工作组退出管理方面发现了重大潜力,由于银行针对不良资产的贷款重新校准,这一领域成为了关注重点。
Risks:
风险:
Current investments might continue to experience negative carrying until strategic transformations are realized.
Balancing the risk of maintaining dividend payments amidst financial losses until redirection strategies are fully implemented.
当前投资可能会继续经历负面持续,直到战略转型实现。
在财务损失中保持股息支付风险与重定向策略完全实施之间取得平衡。
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.
提示:本文由AI生成。文章内容的准确性无法完全保证。有关更全面的详细信息,请参阅IR网站。本文只是为投资者提供参考,没有任何指导或推荐建议。