PennyMac Mortgage Investment TrustPMT

時価総額
$11億
PER
住宅ローン資産の運用を行う大手REIT。MSRやCRT、Agency・非AgencyのMBSを展開。24年6月にATMで最大2億ドルの募集枠設定。米国中心に展開。
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash15342776583478601045859112281338
Short-term investments--9214042122187591127168252128103
Fair value73-1973073228659892,6102,8402,2142,6674,4634,8364,064
Loan, Mortgage, Held-for-Sale, Fair Value Disclosure2329754586381,2841,6731,2701,6444,1483,5524,1711,8226692,116
Loans at fair value6961,1902,0772,7272,5561,7221,0894082711521,5691,5131,4342,194
Derivative assets----------45639096
Derivative assets-248111034114167147164348517857
Deposits Securing Credit Risk Transfer Agreements------5891,1471,9702,7991,7051,3251,2091,111
Balance at end of period---------1,7552,8934,0133,9193,867
Servicing Advances-3260808877776849122205198206105
Due from affiliates------------016
Other Assets351466662351258885204380272135253438
Total assets1,3862,5604,3114,9045,8276,3585,6057,81311,77111,49213,77313,92213,11414,409
Assets sold under agreements to repurchase------14413110881----
Mortgage Loan Participation Purchase And Sale Agreement------44179-1750--12
Notes Payable----236275-4461,6961,9252,4722,8042,9112,930
Unsecured Debt------------600606
Asset Backed Secured Financing Liability Fair Value--1651662483543072762431351,4701,4151,3372,040
Interest-only security payable at fair value-----4736261111223334
Derivative And Credit Risk Transfer Strip Liabilities---------26342167517
Accounts payable and accrued liabilities94272686410865719112596160355139
PennyMac Financial Services, Inc.------------2930
Due to affiliates--------155-----
Income taxes payable03660513418273722410152190164
Representations And Warranties Liability-410142015988224039267
Total liabilities8401,3582,8443,3264,3315,0064,0606,2479,3209,19511,40511,95911,15712,470
Commitments and Contingencies--------------
Preferred Stock, Value, Issued------300300300300541541541541
Common Stock, Value, Issued01111111111111
Additional paid-in capital5181,1301,3841,4801,4701,3771,2911,2862,1282,0972,0821,9471,9231,925
Accumulated deficit2771829826-27-47-2022-101-257-527-509-529
Total shareholders’ equity5461,2011,4671,5781,4961,3511,5451,5662,4512,2972,3681,9631,9571,939
Total liabilities and shareholders’ equity1,3862,5604,3114,9045,8276,3585,6057,81311,77111,49213,77313,92213,11414,409