REDWOOD TRUST INCRWTCash flow

Market cap
$758.77M
P/E ratio
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Stock-based compensation129101411121310141515192419-
Cash from operations 3018-450-222-1,791-1,250-546-1,713-1,612-1,166-505-5,695-139-2,016-5,863
Cash from investing 115-4167233517418631,334287-131,0264,0701,4042149092,538
Payments for dividends 80101829495958888971298492112--
Repurchases of common stock-7---8628816-22-56--
Proceeds from issuance of term debt, net---3377701,400771245199------
Repayments of term debt0--01527118--------
Cash from financing -341618-459-371,147337-7951,3581,683225-3,3114,278-2771,1473,268