AOMR: Angel Oak Mortgage Reit Inc

FinancialsDividends

$9.00

0.34

(3.93%)

As of 08/06/2025 5:00 PM ETDisclaimer
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100%

AOMR Performance Snapshot


1-Week Chg

-3.95%

1-Month Chg

-7.22%

3-Month Chg

-4.45%

6-Month Chg

-6.94%

1-Year Chg

-16.82%

Year-To-Date Chg

3.25%

Beta 1-Year

0.71

Beta 5-Year

1.16

Volatility (10-Day)

3.03%

AOMR Technical Snapshot



Datesorted descending
Close
Change 1D
Open
High
Low
Typical
Volume

2025-08-06

$9

$0.34 (3.93%)

$8.61

$9.04

$8.61

$8.88

118.00K ($1.06M)

2025-08-05

$8.66

-$0.77 (-8.17%)

$9.20

$9.24

$8.51

$8.80

373.00K ($3.23M)

2025-08-04

$9.43

$0.24 (2.61%)

$9.21

$9.45

$9.21

$9.36

89.00K ($839.27K)

2025-08-01

$9.19

-$0.07 (-0.76%)

$9.16

$9.27

$9.09

$9.18

101.00K ($928.19K)

2025-07-31

$9.26

-$0.11 (-1.17%)

$9.32

$9.36

$9.26

$9.29

43.00K ($398.18K)

2025-07-30

$9.37

-$0.09 (-0.95%)

$9.47

$9.50

$9.34

$9.40

50.40K ($472.25K)

2025-07-29

$9.46

-$0.08 (-0.84%)

$9.60

$9.60

$9.46

$9.51

30.70K ($290.42K)

2025-07-28

$9.54

-$0.10 (-1.04%)

$9.69

$9.69

$9.54

$9.59

30.40K ($290.02K)

2025-07-25

$9.64

$0.09 (0.94%)

$9.62

$9.68

$9.59

$9.63

38.00K ($366.32K)

2025-07-24

$9.55

-$0.09 (-0.93%)

$9.56

$9.69

$9.55

$9.60

74.00K ($706.70K)

AOMR Financial Snapshot


Balance Sheet

(USD)

2025 Q2

Y/Y CHANGE


  • Cash and equivalents

    $44.37M

    -3.76%

  • Total assets

    $2.55B

    20.85%

  • Total liabilities

    $2.31B

    24.23%

  • Total investments

    $2.47B

    21.80%

  • Shareholders' equity

    $246.39M

    -3.68%

  • Book value per share

    $10.47

    1.58%


Income Statement

(USD)

2025 Q2

Y/Y CHANGE


  • Revenue

    $5.87M

    9.61%

  • Net income

    $767.00K

    380.95%

  • Operating expense

    $1.45M

    -24.90%

  • Gross profit

    $4.08M

    27.32%

  • EBITDA

    $767.00K

    685.50%

  • Earnings per share

    $0.03

    400.00%


Cash Flow

(USD)

2025 Q2

Y/Y CHANGE


  • Net change in cash

    $897.00K

    -76.89%

  • Cash from operations

    $20.64M

    185.28%

  • Cash from investing

    $70.10M

    1223.01%

  • Cash from financing

    -$89.85M

    -361.70%

  • Free cash flow

    $20.64M

    185.28%

  • Free cash flow per share

    $0.88

    189.96%


Metrics

(USD)

2025 Q2

Y/Y CHANGE


  • Market capitalization

    $221.37M

    -32.31%

  • Enterprise value

    $2.29B

    20.00%

  • Shares outstanding

    23.50M

    -5.87%

  • Profit margin

    13.10%

    356.86%

  • Gross margin

    69.50%

    16.03%

  • EBITDA margin

    13.10%

    645.83%


Dividends

(USD)

2025 Q2

Y/Y CHANGE


  • Dividend yield

    13.60%

    38.78%

  • Dividends per share

    $0.32

    0%

  • Dividend growth

    0%

    0%

  • Payout ratio

    1066.67%

    133.33%

  • Coverage ratio

    9.38%

    400.00%

  • Current ratio

    -

    -