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Rithm Capital Cash Flow Statement

Operating, investing, and financing cash movements

Rithm Capital generated -$27.8M in operating cash flow over the trailing twelve months. Based on the Q1 2026 filing.

Latest FilingQ1 2026
Report Date2026-05-04
Market Cap$5.2B
P/E Ratio7.17
ROE8.43%

Financing

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Proceeds from lines of credit$20.4B$15.5B$19.9B$22.6B$25.8B$23.2B
Proceeds from lines of credit$20.4B$15.5B$19.9B$22.6B$25.8B$23.2B
Proceeds from Lines of Credit$20.4B$15.5B$19.9B$22.6B$25.8B$23.2B
Repayments of Lines of Credit$19.5B$16.5B$18.8B$21.1B$25.9B$22.9B
Other Borrowings, Net$718.1M$0.0$0.0$703.0M$532.9M$582.8M
Proceeds from minority shareholders$4.4M$45.8M$3.5M$35.2M$23.5M$68.7M
Contributions from noncontrolling interests$4.4M$45.8M$3.5M$35.2M$23.5M$68.7M
Proceeds from issuance of debt$20.4B$15.5B$19.9B$22.6B$25.8B$23.2B
Repayments of debt$19.5B$16.5B$18.8B$21.1B$25.9B$22.9B
Distributions to noncontrolling interests$9.7M$3.9M$3.2M$3.3M$3.3M$4.5M
Payments For Repurchase Of Equity$0.0$50.0M$0.0
Other, net$0.0$557.0K
Repayments Of Notes Payable$1.3B$2.1B$1.7B$1.3B$1.4B$2.0B
Proceeds from Other Debt$718.1M$0.0$0.0$703.0M$532.9M$582.8M
Proceeds from Secured Long-Term Debt$8.9B$17.3B$14.0B$10.5B$9.3B$7.9B
Repayments of Secured Debt$8.9B$16.3B$16.0B$11.4B$12.0B$8.0B
Net proceeds from sales of subsidiary shares$4.4M$45.8M$3.5M$35.2M$23.5M$68.7M
Payment of Deferred Purchase Consideration$0.0$0.0$557.0K
Noncontrolling interest transactions and other$0.0$557.0K
Proceeds from Borrowings on Revolving Credit Facility$20.4B$15.5B$19.9B$22.6B$25.8B$23.2B
Repayments of Lines of Credit$19.5B$16.5B$18.8B$21.1B$25.9B$22.9B
Proceeds from Minority Shareholders$4.4M$45.8M$3.5M$35.2M$23.5M$68.7M
Proceeds from Sale of Noncontrolling Interests$4.4M$45.8M$3.5M$35.2M$23.5M$68.7M
Net cash from financing activities$2.0B$56.0M-$1.3B$1.5B-$790.9M$312.3M
Other financing activities$0.0$0.0$557.0K
Payment of debt issuance costs$7.0M$14.8M$1.8M$276.0K$3.3M$6.4M
Borrowings Under Acquisition Credit Facilities$20.4B$15.5B$19.9B$22.6B$25.8B$23.2B
Noncontrolling Interests Activity and Other$0.0$557.0K
Proceeds from Minority Shareholders$4.4M$45.8M$3.5M$35.2M$23.5M$68.7M
Repayments of Acquisition Credit Facilities$19.5B$16.5B$18.8B$21.1B$25.9B$22.9B
Proceeds from issuance of preferred stock$0.0$0.0$242.1M
Proceeds from issuance of common stock$507.0K$107.4M$290.7M$0.0
Proceeds from Secured Lines of Credit$20.4B$15.5B$19.9B$22.6B$25.8B$23.2B
Repurchases of common stock$0.0$50.0M$0.0
Proceeds from Minority Shareholders$4.4M$45.8M$3.5M$35.2M$23.5M$68.7M
Payments of consent fees related to long-term debt$7.0M$14.8M$1.8M$276.0K$3.3M$6.4M
Repayments of lines of credit$19.5B$16.5B$18.8B$21.1B$25.9B$22.9B
Repayments of Other Debt$127.0M$108.2M$62.7M$105.9M$326.6M$184.4M
Proceeds from Issuance of Secured Debt$8.9B$17.3B$14.0B$10.5B$9.3B$7.9B

Operating

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Amortization of Investment Discount and Premium$25.4M$12.0M$22.3M$5.7M-$44.3M
Accretion (amortization) of discounts and premiums on investments$25.4M$12.0M$22.3M$5.7M-$44.3M
Change in accrued liabilities-$200.1M-$49.9M-$249.4M
Change in other assets$20.8M$291.0K-$165.6M$107.8M$185.9M$259.2M
Net gains (losses) on investments-$198.2M$206.9M$73.7M-$18.9M
Accretion (Amortization) of Investment Discounts and Premiums$25.4M$12.0M$22.3M$5.7M-$44.3M
Net cash from operating activities-$1.8B$1.4B-$557.1M-$2.0B-$114.6M$100.7M
Net income$291.9M$80.7M$318.0M$228.8M$90.6M$109.5M
Accretion (Amortization) of Discounts and Premiums, Investments$25.4M$12.0M$22.3M$5.7M-$44.3M
Deferred tax provision$197.2M-$41.3M-$13.9M$3.9M$111.6M$38.7M
Gain (Loss) On Loan Transfers To Real Estate Owned$197.3K$116.0K$0.0$667.0K$537.0K$796.0K
Gain (Loss) On Mortgage Loans Originated And Purchased For Sale, Net$17.8B$12.4B$17.0B$17.5B$19.3B$16.2B
Gain (Loss) On Sale Of Originated Mortgage Loans, Net$201.6M$159.8M$169.7M$196.3M$203.7M$208.3M
Gain (Loss) On Settlement Of Investment-$351.5M$163.3M$8.4M$89.1M$72.2M
Accrued expenses and other liabilities-$200.1M-$49.9M-$249.4M
Increase (Decrease) In Benefits Paid On Insurance Contract Liabilities$0.0$0.0$15.2M
Increase (Decrease) in Other Operating Assets$20.8M$291.0K-$165.6M$107.8M$185.9M$259.2M
Increase (Decrease) In Servicer Advances Receivable, Net$485.6M-$311.5M-$151.8M-$49.9M-$204.9M
Purchases$444.1M$197.9M$192.1M$141.0M$0.0$155.6M
Residential transition loans repayment proceeds of consolidated entities$0.0$0.0$0.0$0.0$0.0
Non-Cash Portions Of Servicing Revenue, Net$592.4M-$761.2M-$281.3M-$443.6M-$225.4M
Principal repayments and sales proceeds of investments of consolidated entities$111.3M$0.0
Principal payments received on finance receivables held for sale$77.9M$99.7M$394.1M$257.0M$246.6M$310.4M
Premiums collected on insurance contract liabilities$0.0$0.0$107.2M
Interest received from servicer advance investments, RMBS, loans and other$18.2M$9.7M$13.3M$13.2M$12.4M$12.4M
Provision for Loan, Lease, and Other Losses-$2.0M-$890.0K-$1.1M-$874.0K$107.0K
Secured Notes and Bond Payable, Change in Fair Value-$8.4M-$15.6M-$2.0M$0.0-$6.0M
Provision for credit losses-$2.0M-$890.0K-$1.1M-$874.0K$107.0K
Accretion (Amortization) of Investment Discounts and Premiums$25.4M$12.0M$22.3M$5.7M-$44.3M

Other

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Net increase (decrease) in cash$172.8M$60.3M$94.9M$543.6M-$326.4M
Cashless exercise of warrants and options$2.3K$0.0$0.0$0.0$0.0
Liabilities related to the initial consolidation of CLOs$128.1M$0.0$0.0$0.0$0.0
Liabilities related to deconsolidated CFEs$88.2M$0.0$0.0$451.8M
Non-controlling interests acquired in and contributed to Paramount transaction$0.0$96.9M$96.9M$96.9M$96.9M
Origination of residential transition loans$775.5M$1.4B
Payment For Settlement Of Derivatives And Hedges-$72.4M$124.4M-$164.5M-$74.7M$158.4M
Payments For Consumer Loans$0.0$0.0$279.4M$134.4M
Payments For Draws On Consumer Loans$8.1M$6.6M$5.1M$5.2M$5.3M$4.0M
Payments Of Ordinary Dividends, Common And Preferred Stock$155.9M$157.0M$159.2M$160.6M$166.4M$172.5M
Payments To Acquire Available For Sale Of Government Backed Securities$1.4B$87.7M$495.9M$538.5M$0.0
Payments To Acquire Service Advance Investments$191.6M$186.4M$164.0M$170.0M$172.4M$168.4M
Borrowings under notes receivable financing$0.0$0.0$0.0$0.0$0.0
Borrowings under residential transition loans financing$0.0$0.0$3.9M
Principal repayments and sales proceeds of residential transition loans$353.1M$600.8M
Proceeds from sale of government-backed and other securities$0.0$1.3M$3.1B$0.0
Net proceeds from issuance of Class A Units of SPAC$0.0$230.0M$0.0
Purchase Of Insurance Company Investments, At Fair Value$0.0$0.0$208.0M
Repayments of Other Debt$127.0M$108.2M$62.7M$105.9M$326.6M$184.4M
Unrealized Gain (Loss) on Investments-$198.2M$206.9M$73.7M-$18.9M