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Rithm Property Trust Inc.

Financial highlights

MetricFY December 31, 2025FY December 31, 2024FY December 31, 2023FY December 31, 2022FY December 31, 2021
Revenue-$55.5M-$17.1M$35.6M$77.9M
Operating expenses$16.0M$39.9M
Cash from operations-$8.3M$290,000-$46.5M$1.1M-$18.2M
Capital expenditure$0$27,000$277,000
Free cash flow-$46.5M$1.1M-$18.5M
Share repurchases$5.1M$5.1M$0$4.7M$16,000
Impairments$293,000
Total assets$1.0B$977.3M$1.3B$1.5B$1.8B
Total liabilities$750.4M$730.6M$1.0B$1.1B$1.3B

Shares outstanding 7.8M · Free float 62.1%

Annual filing data through FY ended December 31, 2025; float as of June 27, 2026.