US Stock MarketDetailed Quotes

RWT Redwood Trust Inc

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  • 7.520
  • +0.100+1.35%
Trading Jul 23 12:06 ET
993.79MMarket Cap94.00P/E (TTM)

Redwood Trust Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold
-30.60%340.39M
11.97%368.79M
11.97%368.79M
-29.63%259.72M
0.67%446.84M
1.59%490.49M
-38.03%329.36M
-38.03%329.36M
-42.84%369.09M
-6.81%443.85M
-Cash and cash equivalents
-31.91%275.39M
13.21%293.1M
13.21%293.1M
-31.46%203.62M
-3.77%357.31M
-1.18%404.45M
-42.53%258.89M
-42.53%258.89M
-46.66%297.09M
-11.85%371.3M
-Restricted cash and investments
-24.46%64.99M
7.40%75.68M
7.40%75.68M
-22.08%56.1M
23.40%89.53M
16.98%86.04M
-13.00%70.47M
-13.00%70.47M
-18.85%72M
31.81%72.56M
Receivables
18.96%150.95M
49.82%171.87M
49.82%171.87M
-12.70%109.77M
11.90%116.03M
10.16%126.9M
-16.62%114.72M
-16.62%114.72M
38.29%125.74M
15.32%103.69M
-Accounts receivable
29.47%79.49M
13.43%69.07M
13.43%69.07M
10.59%60.76M
24.81%63.66M
26.03%61.4M
28.16%60.89M
28.16%60.89M
30.83%54.94M
23.30%51.01M
-Other receivables
9.10%71.46M
90.99%102.8M
90.99%102.8M
-30.77%49.01M
-0.60%52.37M
-1.47%65.5M
-40.24%53.82M
-40.24%53.82M
44.70%70.79M
8.51%52.68M
Net loan
17.79%13.78B
12.51%13.25B
12.51%13.25B
1.45%11.95B
-5.68%11.53B
-5.82%11.7B
-9.78%11.77B
-9.78%11.77B
3.38%11.78B
14.93%12.22B
-Gross loan
17.79%13.78B
12.51%13.25B
12.51%13.25B
1.45%11.95B
-5.68%11.53B
-5.82%11.7B
-9.78%11.77B
-9.78%11.77B
3.38%11.78B
14.93%12.22B
Securities and investments
-22.23%486.11M
-25.29%471.73M
-25.29%471.73M
-39.68%405.35M
-52.67%456.24M
-37.15%625.04M
-23.62%631.41M
-23.62%631.41M
-13.37%671.97M
45.26%963.95M
-Trading securities
-5.67%102.22M
-62.68%40.42M
-62.68%40.42M
-58.92%48.04M
-48.18%69.32M
-37.61%108.37M
-36.51%108.33M
-36.51%108.33M
-23.58%116.93M
-6.07%133.78M
-Available for sale securities
-28.26%273.81M
-12.02%343.93M
-12.02%343.93M
-33.16%275.9M
-57.42%289.42M
-39.95%381.69M
-12.98%390.94M
-12.98%390.94M
-2.27%412.76M
120.15%679.67M
-Short term investments
-18.44%110.09M
-33.88%87.37M
-33.88%87.37M
-42.79%81.4M
-35.22%97.5M
-27.12%134.98M
-36.10%132.15M
-36.10%132.15M
-28.96%142.28M
-29.16%150.5M
Derivative assets
-72.56%3.16M
-31.77%14.21M
-31.77%14.21M
-42.21%37.69M
-44.14%20.44M
-89.74%11.5M
-21.30%20.83M
-21.30%20.83M
27.61%65.21M
6.65%36.59M
Net PPE
-23.69%18.76M
-32.16%19.53M
-32.16%19.53M
-26.13%21.82M
-17.45%23.33M
-12.25%24.59M
3.61%28.79M
3.61%28.79M
28.40%29.54M
31.02%28.26M
-Gross PPE
-23.69%18.76M
2.57%29.53M
2.57%29.53M
4.34%30.82M
-17.45%23.33M
-12.25%24.59M
3.61%28.79M
3.61%28.79M
28.40%29.54M
31.02%28.26M
-Accumulated depreciation
----
---10M
---10M
---9M
----
----
----
----
----
----
Foreclosed assets
597.31%91.31M
1,350.02%93.6M
1,350.02%93.6M
1,369.54%54.12M
97.85%15.46M
-51.82%13.1M
-82.13%6.46M
-82.13%6.46M
-80.48%3.68M
-49.56%7.81M
Goodwill and other intangible assets
84.07%112.57M
-19.34%51.84M
-19.34%51.84M
76.89%119.4M
257.63%124.17M
60.83%61.16M
54.63%64.27M
54.63%64.27M
49.19%67.5M
-29.31%34.72M
-Goodwill
0.00%23.37M
0.00%23.37M
0.00%23.37M
0.00%23.37M
--23.37M
--23.37M
--23.37M
--23.37M
--23.37M
----
-Other intangible assets
136.07%89.2M
-30.40%28.46M
-30.40%28.46M
117.61%96.03M
190.31%100.8M
-0.64%37.78M
-1.61%40.89M
-1.61%40.89M
-2.47%44.13M
-29.31%34.72M
Other assets
26.35%32.49M
34.37%25.99M
34.37%25.99M
55.64%22.85M
99.82%22.28M
135.04%25.71M
121.18%19.34M
121.18%19.34M
58.61%14.68M
17.93%11.15M
Total assets
14.76%15.06B
11.31%14.5B
11.31%14.5B
-0.95%13.02B
-7.77%12.8B
-7.94%13.12B
-11.40%13.03B
-11.40%13.03B
0.56%13.15B
15.66%13.88B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase
-75.22%80.66M
-33.85%82.62M
-33.85%82.62M
91.13%237.84M
165.90%253.37M
331.51%325.55M
66.93%124.91M
66.93%124.91M
56.00%124.44M
17.73%95.29M
Payables
46.89%153.74M
38.47%140.75M
38.47%140.75M
1.61%131.62M
-4.69%107.35M
-30.36%104.66M
-11.31%101.65M
-11.31%101.65M
2.84%129.54M
48.34%112.63M
-Accounts payable
20.05%65.41M
13.57%57.75M
13.57%57.75M
9.25%56.44M
6.55%51.21M
-9.77%54.48M
6.89%50.85M
6.89%50.85M
49.54%51.66M
34.96%48.07M
-Dividends payable
4.16%1.48M
--1.48M
--1.48M
--1.48M
--1.48M
--1.42M
--0
--0
----
----
-Due to related parties
88.00%86.86M
80.96%81.18M
80.96%81.18M
2.12%48.5M
-4.83%47.15M
-3.62%46.2M
5.13%44.86M
5.13%44.86M
49.42%47.49M
221.42%49.54M
-Other payable
----
-94.11%350K
-94.11%350K
-17.04%25.21M
-50.00%7.51M
-93.90%2.56M
-75.61%5.94M
-75.61%5.94M
-37.08%30.39M
-22.97%15.02M
Current accrued expenses
62.66%9.27M
-3.71%5.53M
-3.71%5.53M
22.34%6.06M
-30.55%6.07M
-81.37%5.7M
31.14%5.74M
31.14%5.74M
21.83%4.96M
77.06%8.74M
Current debt and capital lease obligation
-26.65%946.85M
-29.07%1.35B
-29.07%1.35B
-43.99%1.11B
-32.16%1.2B
-17.87%1.29B
-9.41%1.9B
-9.41%1.9B
18.83%1.99B
26.39%1.77B
-Current debt
-26.65%946.85M
-29.07%1.35B
-29.07%1.35B
-43.99%1.11B
-32.16%1.2B
-17.87%1.29B
-9.41%1.9B
-9.41%1.9B
18.83%1.99B
26.39%1.77B
Long term provisions
-16.73%4.88M
-33.34%4.7M
-33.34%4.7M
-19.86%4.61M
-19.62%4.56M
-38.52%5.86M
-24.23%7.05M
-24.23%7.05M
-36.09%5.75M
-34.80%5.68M
Long term debt and capital lease obligation
23.61%12.43B
19.72%11.49B
19.72%11.49B
7.02%10.22B
-5.45%9.86B
-6.14%10.06B
-10.92%9.6B
-10.92%9.6B
-0.06%9.55B
17.22%10.43B
-Long term debt
23.69%12.42B
19.80%11.48B
19.80%11.48B
7.07%10.21B
-5.43%9.85B
-6.13%10.04B
-10.92%9.58B
-10.92%9.58B
-0.10%9.53B
17.21%10.41B
-Long term capital lease obligation
-22.56%13.66M
-20.68%14.73M
-20.68%14.73M
-19.98%15.63M
-14.28%16.67M
-12.76%17.64M
-11.44%18.56M
-11.44%18.56M
23.85%19.53M
21.57%19.45M
Non current deferred liabilities
686.62%13.4M
----
----
--6.11M
--43.06M
--1.7M
----
----
----
----
Employee benefits
-8.04%18.53M
-9.02%28.14M
-9.02%28.14M
-1.02%23.25M
22.25%21.72M
18.59%20.15M
-58.56%30.93M
-58.56%30.93M
-63.50%23.49M
-58.43%17.77M
Derivative product liabilities
-45.52%5.85M
100.70%33.83M
100.70%33.83M
29.48%8.78M
-64.86%2.32M
-86.62%10.74M
408.14%16.86M
408.14%16.86M
-38.19%6.78M
103.43%6.59M
Preferred securities outside stock equity
0.03%138.83M
0.03%138.81M
0.03%138.81M
0.03%138.8M
0.03%138.79M
0.03%138.78M
0.03%138.77M
0.03%138.77M
0.03%138.76M
0.03%138.74M
Other liabilities
34.76%27.71M
41.10%22.96M
41.10%22.96M
17.65%21.01M
7.98%28.68M
22.07%20.56M
-25.71%16.27M
-25.71%16.27M
-44.92%17.86M
-9.80%26.56M
Total liabilities
15.44%13.83B
11.34%13.3B
11.34%13.3B
-0.64%11.92B
-7.49%11.67B
-6.44%11.98B
-10.31%11.95B
-10.31%11.95B
2.52%11.99B
17.91%12.62B
Shareholders'equity
Share capital
0.30%68.27M
5,914.36%68.26M
5,914.36%68.26M
5,911.30%68.11M
5,727.48%68.07M
5,557.69%68.06M
-1.22%1.14M
-1.22%1.14M
-1.22%1.13M
3.27%1.17M
-common stock
15.80%1.32M
15.86%1.32M
15.86%1.32M
4.59%1.19M
-2.23%1.14M
-5.32%1.14M
-1.22%1.14M
-1.22%1.14M
-1.22%1.13M
3.27%1.17M
-Preferred stock
0.04%66.95M
--66.95M
--66.95M
--66.92M
--66.92M
--66.92M
--0
--0
----
----
Paid-in capital
5.89%2.49B
5.87%2.49B
5.87%2.49B
2.14%2.4B
-0.21%2.36B
-1.51%2.36B
1.43%2.35B
1.43%2.35B
1.42%2.35B
3.34%2.36B
Retained earnings
-211.46%-1.29B
-0.78%1.14B
-0.78%1.14B
-14.70%-1.29B
-18.26%-1.24B
225.60%1.16B
-12.42%1.15B
-12.42%1.15B
-19.97%-1.13B
-4.57%-1.05B
Gains losses not affecting retained earnings
22.42%-48.9M
15.84%-57.96M
15.84%-57.96M
0.30%-64.74M
-7.45%-62.09M
-138.11%-63.04M
-671.46%-68.87M
-671.46%-68.87M
-3,476.76%-64.94M
-693.31%-57.79M
Other equity interest
----
-3.76%-2.44B
-3.76%-2.44B
----
----
---2.38B
-4.99%-2.35B
-4.99%-2.35B
----
----
Total stockholders'equity
7.60%1.22B
10.95%1.2B
10.95%1.2B
-4.20%1.11B
-10.65%1.12B
-21.28%1.14B
-21.80%1.08B
-21.80%1.08B
-16.11%1.15B
-2.86%1.26B
Total equity
7.60%1.22B
10.95%1.2B
10.95%1.2B
-4.20%1.11B
-10.65%1.12B
-21.28%1.14B
-21.80%1.08B
-21.80%1.08B
-16.11%1.15B
-2.86%1.26B
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
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold -30.60%340.39M11.97%368.79M11.97%368.79M-29.63%259.72M0.67%446.84M1.59%490.49M-38.03%329.36M-38.03%329.36M-42.84%369.09M-6.81%443.85M
-Cash and cash equivalents -31.91%275.39M13.21%293.1M13.21%293.1M-31.46%203.62M-3.77%357.31M-1.18%404.45M-42.53%258.89M-42.53%258.89M-46.66%297.09M-11.85%371.3M
-Restricted cash and investments -24.46%64.99M7.40%75.68M7.40%75.68M-22.08%56.1M23.40%89.53M16.98%86.04M-13.00%70.47M-13.00%70.47M-18.85%72M31.81%72.56M
Receivables 18.96%150.95M49.82%171.87M49.82%171.87M-12.70%109.77M11.90%116.03M10.16%126.9M-16.62%114.72M-16.62%114.72M38.29%125.74M15.32%103.69M
-Accounts receivable 29.47%79.49M13.43%69.07M13.43%69.07M10.59%60.76M24.81%63.66M26.03%61.4M28.16%60.89M28.16%60.89M30.83%54.94M23.30%51.01M
-Other receivables 9.10%71.46M90.99%102.8M90.99%102.8M-30.77%49.01M-0.60%52.37M-1.47%65.5M-40.24%53.82M-40.24%53.82M44.70%70.79M8.51%52.68M
Net loan 17.79%13.78B12.51%13.25B12.51%13.25B1.45%11.95B-5.68%11.53B-5.82%11.7B-9.78%11.77B-9.78%11.77B3.38%11.78B14.93%12.22B
-Gross loan 17.79%13.78B12.51%13.25B12.51%13.25B1.45%11.95B-5.68%11.53B-5.82%11.7B-9.78%11.77B-9.78%11.77B3.38%11.78B14.93%12.22B
Securities and investments -22.23%486.11M-25.29%471.73M-25.29%471.73M-39.68%405.35M-52.67%456.24M-37.15%625.04M-23.62%631.41M-23.62%631.41M-13.37%671.97M45.26%963.95M
-Trading securities -5.67%102.22M-62.68%40.42M-62.68%40.42M-58.92%48.04M-48.18%69.32M-37.61%108.37M-36.51%108.33M-36.51%108.33M-23.58%116.93M-6.07%133.78M
-Available for sale securities -28.26%273.81M-12.02%343.93M-12.02%343.93M-33.16%275.9M-57.42%289.42M-39.95%381.69M-12.98%390.94M-12.98%390.94M-2.27%412.76M120.15%679.67M
-Short term investments -18.44%110.09M-33.88%87.37M-33.88%87.37M-42.79%81.4M-35.22%97.5M-27.12%134.98M-36.10%132.15M-36.10%132.15M-28.96%142.28M-29.16%150.5M
Derivative assets -72.56%3.16M-31.77%14.21M-31.77%14.21M-42.21%37.69M-44.14%20.44M-89.74%11.5M-21.30%20.83M-21.30%20.83M27.61%65.21M6.65%36.59M
Net PPE -23.69%18.76M-32.16%19.53M-32.16%19.53M-26.13%21.82M-17.45%23.33M-12.25%24.59M3.61%28.79M3.61%28.79M28.40%29.54M31.02%28.26M
-Gross PPE -23.69%18.76M2.57%29.53M2.57%29.53M4.34%30.82M-17.45%23.33M-12.25%24.59M3.61%28.79M3.61%28.79M28.40%29.54M31.02%28.26M
-Accumulated depreciation -------10M---10M---9M------------------------
Foreclosed assets 597.31%91.31M1,350.02%93.6M1,350.02%93.6M1,369.54%54.12M97.85%15.46M-51.82%13.1M-82.13%6.46M-82.13%6.46M-80.48%3.68M-49.56%7.81M
Goodwill and other intangible assets 84.07%112.57M-19.34%51.84M-19.34%51.84M76.89%119.4M257.63%124.17M60.83%61.16M54.63%64.27M54.63%64.27M49.19%67.5M-29.31%34.72M
-Goodwill 0.00%23.37M0.00%23.37M0.00%23.37M0.00%23.37M--23.37M--23.37M--23.37M--23.37M--23.37M----
-Other intangible assets 136.07%89.2M-30.40%28.46M-30.40%28.46M117.61%96.03M190.31%100.8M-0.64%37.78M-1.61%40.89M-1.61%40.89M-2.47%44.13M-29.31%34.72M
Other assets 26.35%32.49M34.37%25.99M34.37%25.99M55.64%22.85M99.82%22.28M135.04%25.71M121.18%19.34M121.18%19.34M58.61%14.68M17.93%11.15M
Total assets 14.76%15.06B11.31%14.5B11.31%14.5B-0.95%13.02B-7.77%12.8B-7.94%13.12B-11.40%13.03B-11.40%13.03B0.56%13.15B15.66%13.88B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase -75.22%80.66M-33.85%82.62M-33.85%82.62M91.13%237.84M165.90%253.37M331.51%325.55M66.93%124.91M66.93%124.91M56.00%124.44M17.73%95.29M
Payables 46.89%153.74M38.47%140.75M38.47%140.75M1.61%131.62M-4.69%107.35M-30.36%104.66M-11.31%101.65M-11.31%101.65M2.84%129.54M48.34%112.63M
-Accounts payable 20.05%65.41M13.57%57.75M13.57%57.75M9.25%56.44M6.55%51.21M-9.77%54.48M6.89%50.85M6.89%50.85M49.54%51.66M34.96%48.07M
-Dividends payable 4.16%1.48M--1.48M--1.48M--1.48M--1.48M--1.42M--0--0--------
-Due to related parties 88.00%86.86M80.96%81.18M80.96%81.18M2.12%48.5M-4.83%47.15M-3.62%46.2M5.13%44.86M5.13%44.86M49.42%47.49M221.42%49.54M
-Other payable -----94.11%350K-94.11%350K-17.04%25.21M-50.00%7.51M-93.90%2.56M-75.61%5.94M-75.61%5.94M-37.08%30.39M-22.97%15.02M
Current accrued expenses 62.66%9.27M-3.71%5.53M-3.71%5.53M22.34%6.06M-30.55%6.07M-81.37%5.7M31.14%5.74M31.14%5.74M21.83%4.96M77.06%8.74M
Current debt and capital lease obligation -26.65%946.85M-29.07%1.35B-29.07%1.35B-43.99%1.11B-32.16%1.2B-17.87%1.29B-9.41%1.9B-9.41%1.9B18.83%1.99B26.39%1.77B
-Current debt -26.65%946.85M-29.07%1.35B-29.07%1.35B-43.99%1.11B-32.16%1.2B-17.87%1.29B-9.41%1.9B-9.41%1.9B18.83%1.99B26.39%1.77B
Long term provisions -16.73%4.88M-33.34%4.7M-33.34%4.7M-19.86%4.61M-19.62%4.56M-38.52%5.86M-24.23%7.05M-24.23%7.05M-36.09%5.75M-34.80%5.68M
Long term debt and capital lease obligation 23.61%12.43B19.72%11.49B19.72%11.49B7.02%10.22B-5.45%9.86B-6.14%10.06B-10.92%9.6B-10.92%9.6B-0.06%9.55B17.22%10.43B
-Long term debt 23.69%12.42B19.80%11.48B19.80%11.48B7.07%10.21B-5.43%9.85B-6.13%10.04B-10.92%9.58B-10.92%9.58B-0.10%9.53B17.21%10.41B
-Long term capital lease obligation -22.56%13.66M-20.68%14.73M-20.68%14.73M-19.98%15.63M-14.28%16.67M-12.76%17.64M-11.44%18.56M-11.44%18.56M23.85%19.53M21.57%19.45M
Non current deferred liabilities 686.62%13.4M----------6.11M--43.06M--1.7M----------------
Employee benefits -8.04%18.53M-9.02%28.14M-9.02%28.14M-1.02%23.25M22.25%21.72M18.59%20.15M-58.56%30.93M-58.56%30.93M-63.50%23.49M-58.43%17.77M
Derivative product liabilities -45.52%5.85M100.70%33.83M100.70%33.83M29.48%8.78M-64.86%2.32M-86.62%10.74M408.14%16.86M408.14%16.86M-38.19%6.78M103.43%6.59M
Preferred securities outside stock equity 0.03%138.83M0.03%138.81M0.03%138.81M0.03%138.8M0.03%138.79M0.03%138.78M0.03%138.77M0.03%138.77M0.03%138.76M0.03%138.74M
Other liabilities 34.76%27.71M41.10%22.96M41.10%22.96M17.65%21.01M7.98%28.68M22.07%20.56M-25.71%16.27M-25.71%16.27M-44.92%17.86M-9.80%26.56M
Total liabilities 15.44%13.83B11.34%13.3B11.34%13.3B-0.64%11.92B-7.49%11.67B-6.44%11.98B-10.31%11.95B-10.31%11.95B2.52%11.99B17.91%12.62B
Shareholders'equity
Share capital 0.30%68.27M5,914.36%68.26M5,914.36%68.26M5,911.30%68.11M5,727.48%68.07M5,557.69%68.06M-1.22%1.14M-1.22%1.14M-1.22%1.13M3.27%1.17M
-common stock 15.80%1.32M15.86%1.32M15.86%1.32M4.59%1.19M-2.23%1.14M-5.32%1.14M-1.22%1.14M-1.22%1.14M-1.22%1.13M3.27%1.17M
-Preferred stock 0.04%66.95M--66.95M--66.95M--66.92M--66.92M--66.92M--0--0--------
Paid-in capital 5.89%2.49B5.87%2.49B5.87%2.49B2.14%2.4B-0.21%2.36B-1.51%2.36B1.43%2.35B1.43%2.35B1.42%2.35B3.34%2.36B
Retained earnings -211.46%-1.29B-0.78%1.14B-0.78%1.14B-14.70%-1.29B-18.26%-1.24B225.60%1.16B-12.42%1.15B-12.42%1.15B-19.97%-1.13B-4.57%-1.05B
Gains losses not affecting retained earnings 22.42%-48.9M15.84%-57.96M15.84%-57.96M0.30%-64.74M-7.45%-62.09M-138.11%-63.04M-671.46%-68.87M-671.46%-68.87M-3,476.76%-64.94M-693.31%-57.79M
Other equity interest -----3.76%-2.44B-3.76%-2.44B-----------2.38B-4.99%-2.35B-4.99%-2.35B--------
Total stockholders'equity 7.60%1.22B10.95%1.2B10.95%1.2B-4.20%1.11B-10.65%1.12B-21.28%1.14B-21.80%1.08B-21.80%1.08B-16.11%1.15B-2.86%1.26B
Total equity 7.60%1.22B10.95%1.2B10.95%1.2B-4.20%1.11B-10.65%1.12B-21.28%1.14B-21.80%1.08B-21.80%1.08B-16.11%1.15B-2.86%1.26B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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