LADR
Ladder Capital Corp Class A
NYSE: LADR · REAL ESTATE · REIT - MORTGAGE
$10.25
-2.19% today
Updated 2026-04-29
Market cap
$1.31B
P/E ratio
23.30
P/S ratio
6.05x
EPS (TTM)
$0.44
Dividend yield
8.78%
52W range
$9 – $11
Volume
0.9M
Ladder Capital Corp Class A (LADR) Financial statements
SEC filings — annual and quarterly data.
Cash flow — annual
| Item | 2010 | 2011 | 2012 | 2013 | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Operating cash flow | $-231.27M | $340.30M | $-116.01M | $475.08M | $208.67M | $-38.31M | $338.43M | $11.98M | $200.43M | $183.21M | $111.94M | $79.74M | $106.71M | $180.60M | $133.92M | $87.02M |
| Capital expenditures | $339731.00 | $1.32M | $351041.00 | $289.38M | $5.19M | $8.38M | $10.64M | $5.64M | $7.78M | $7.59M | $6.10M | $4.87M | $6.95M | $4.37M | $6.50M | $0.00 |
| Depreciation | $408489.00 | $1.04M | $3.64M | $22.37M | $29.10M | $38.81M | $39.34M | $39.55M | $40.22M | $37.15M | $36.84M | $35.91M | $30.91M | $28.12M | $30.63M | $30.70M |
| Stock-based comp | $173803.00 | $150696.00 | $2.41M | $2.88M | $14.45M | $13.79M | $17.64M | $18.96M | $8.83M | $21.78M | $42.73M | $15.30M | $31.58M | $18.58M | $18.83M | $20.33M |
| Free cash flow | $-231.61M | $338.98M | $-116.36M | $185.70M | $203.48M | $-46.68M | $327.79M | $6.34M | $192.65M | $175.62M | $105.84M | $74.87M | $99.76M | $176.23M | $127.42M | $87.02M |
| Investing cash flow | $-423.72M | $-330.38M | $288.11M | $-1.08B | $-2.37B | $34.65M | $36.28M | $-306.63M | $-342.87M | $-126.59M | $1.54B | $-651.46M | $81.59M | $793.50M | $932.76M | $-1.61B |
| Financing cash flow | $568.72M | $-12.56M | $-211.27M | $640.35M | $2.16B | $22.00M | $-448.08M | $387.90M | $58.20M | $200.68M | $-725.67M | $-91.02M | $-150.24M | $-557.77M | $-796.59M | $227.04M |
| Dividends paid | $42.95M | $43.98M | $73.16M | $93.64M | $369000.00 | $39.93M | $67.17M | $100.08M | $122.77M | $144.53M | $118.89M | $100.55M | $107.01M | $116.42M | $117.71M | $117.41M |
| Share repurchases | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — |
| Debt repayment | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — | — |
| Net change in cash | — | — | — | — | $114.04M | $169.71M | $-64.34M | $93.25M | $-84.23M | $257.30M | $928.54M | $-662.74M | $38.06M | — | — | — |