2013 Q2 Form 10-Q Financial Statement

#000115752314001144 Filed on March 20, 2014

View on sec.gov

Income Statement

Concept 2013 Q2 2012 Q2
Revenue $168.7M $159.0M
YoY Change 6.1% -19.53%
Cost Of Revenue $33.10M $34.90M
YoY Change -5.16% -28.63%
Gross Profit $135.6M $124.1M
YoY Change 9.27% -16.49%
Gross Profit Margin 80.38% 78.05%
Selling, General & Admin $5.200M $2.500M
YoY Change 108.0% 38.89%
% of Gross Profit 3.83% 2.01%
Research & Development
YoY Change
% of Gross Profit
Depreciation & Amortization
YoY Change
% of Gross Profit
Operating Expenses $200.0K $1.400M
YoY Change -85.71% -26.32%
Operating Profit $135.4M $122.7M
YoY Change 10.35% -16.36%
Interest Expense $26.61M $21.95M
YoY Change 21.22% -38.67%
% of Operating Profit 19.65% 17.89%
Other Income/Expense, Net
YoY Change
Pretax Income $143.2M $40.78M
YoY Change 251.16% -24.62%
Income Tax $0.00 $0.00
% Of Pretax Income 0.0% 0.0%
Net Earnings $143.2M $40.78M
YoY Change 251.16% -24.45%
Net Earnings / Revenue 84.89% 25.65%
Basic Earnings Per Share $0.14 $0.04
Diluted Earnings Per Share $0.14 $0.04
COMMON SHARES
Basic Shares Outstanding 1.027B shares 1.027B shares
Diluted Shares Outstanding 1.028B shares 1.028B shares

Balance Sheet

Concept 2013 Q2 2012 Q2
SHORT-TERM ASSETS
Cash & Short-Term Investments $168.0M $116.0M
YoY Change 44.83% 625.0%
Cash & Equivalents $168.2M $116.2M
Short-Term Investments
Other Short-Term Assets
YoY Change
Inventory
Prepaid Expenses
Receivables
Other Receivables
Total Short-Term Assets $206.0M $165.0M
YoY Change 24.85% 122.97%
LONG-TERM ASSETS
Property, Plant & Equipment
YoY Change
Goodwill
YoY Change
Intangibles
YoY Change
Long-Term Investments $6.044B $6.803B
YoY Change -11.16% -29.95%
Other Assets
YoY Change
Total Long-Term Assets $6.978B $8.142B
YoY Change -14.3% -18.71%
TOTAL ASSETS
Total Short-Term Assets $206.0M $165.0M
Total Long-Term Assets $6.978B $8.142B
Total Assets $7.184B $8.307B
YoY Change -13.52% -17.67%
SHORT-TERM LIABILITIES
YoY Change
Accounts Payable $2.000M $16.00M
YoY Change -87.5% 1500.0%
Accrued Expenses $8.000M $12.00M
YoY Change -33.33% 0.0%
Deferred Revenue
YoY Change
Short-Term Debt $1.478B $2.362B
YoY Change -37.43% -45.32%
Long-Term Debt Due
YoY Change
Total Short-Term Liabilities $1.586B $2.495B
YoY Change -36.43% -44.31%
LONG-TERM LIABILITIES
Long-Term Debt $1.934B $2.575B
YoY Change -24.89% 19.71%
Other Long-Term Liabilities $35.00M $55.00M
YoY Change -36.36% 175.0%
Total Long-Term Liabilities $1.969B $2.630B
YoY Change -25.13% 21.14%
TOTAL LIABILITIES
Total Short-Term Liabilities $1.586B $2.495B
Total Long-Term Liabilities $1.969B $2.630B
Total Liabilities $3.556B $5.126B
YoY Change -30.63% -22.93%
SHAREHOLDERS EQUITY
Retained Earnings -$1.024B -$1.084B
YoY Change -5.54%
Common Stock $3.615B $3.614B
YoY Change 0.02%
Preferred Stock
YoY Change
Treasury Stock (at cost)
YoY Change
Treasury Stock Shares
Shareholders Equity $3.628B $3.181B
YoY Change
Total Liabilities & Shareholders Equity $7.184B $8.307B
YoY Change -13.52% -17.67%

Cashflow Statement

Concept 2013 Q2 2012 Q2
OPERATING ACTIVITIES
Net Income $143.2M $40.78M
YoY Change 251.16% -24.45%
Depreciation, Depletion And Amortization
YoY Change
Cash From Operating Activities $69.70M $94.90M
YoY Change -26.55% -18.68%
INVESTING ACTIVITIES
Capital Expenditures
YoY Change
Acquisitions
YoY Change
Other Investing Activities -$246.5M -$39.00M
YoY Change 532.05% -81.73%
Cash From Investing Activities -$246.5M -$39.00M
YoY Change 532.05% -81.73%
FINANCING ACTIVITIES
Cash Dividend Paid
YoY Change
Common Stock Issuance & Retirement, Net
YoY Change
Debt Paid & Issued, Net
YoY Change
Cash From Financing Activities -304.5M -70.80M
YoY Change 330.08% -173.29%
NET CHANGE
Cash From Operating Activities 69.70M 94.90M
Cash From Investing Activities -246.5M -39.00M
Cash From Financing Activities -304.5M -70.80M
Net Change In Cash -481.3M -14.90M
YoY Change 3130.2% 7350.0%
FREE CASH FLOW
Cash From Operating Activities $69.70M $94.90M
Capital Expenditures
Free Cash Flow
YoY Change

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dei Trading Symbol
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dei Entity Registrant Name
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CHIMERA INVESTMENT CORP
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dei Document Type
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10-Q
dei Document Period End Date
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dei Entity Central Index Key
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dei Current Fiscal Year End Date
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<div style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt"> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold"> (p) Use of Estimates</font></div> <div style="TEXT-INDENT: 0pt; DISPLAY: block"><br /></div> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"><font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Although the Company&#x2019;s estimates contemplate current conditions and how it expects them to change in the future, it is reasonably possible that actual conditions could be materially different than anticipated in those estimates, which could have a material adverse impact on the Company&#x2019;s results of operations and its financial condition. Management has made significant estimates in accounting for income recognition and OTTI on Agency and Non-Agency RMBS and IO RMBS (Note 3), valuation of Agency and Non-Agency RMBS (Notes 3 and 5), and interest rate swaps (Notes 5 and 9).&#xA0;&#xA0;Actual results could differ materially from those estimates.</font></div> </div>
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FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> </tr> <tr> <td style="BORDER-BOTTOM: black 2px solid" valign="bottom" width="56%"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> <td style="BORDER-BOTTOM: black 2px solid" valign="bottom" width="1%"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> <td style="BORDER-BOTTOM: black 2px solid" valign="bottom" width="42%" colspan="6"> <div style="TEXT-ALIGN: center; TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt"> (dollars in thousands)</font></font></div> </td> <td style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left" valign="bottom" width="1%" nowrap="nowrap"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> </tr> <tr bgcolor="#CCEEFF"> <td valign="bottom" width="56%" align="left"> <div style="TEXT-INDENT: 0pt; 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FONT-FAMILY: times new roman; FONT-SIZE: 10pt"> $</font></td> <td style="TEXT-ALIGN: right" valign="bottom" width="19%"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">-</font></td> <td style="TEXT-ALIGN: left" valign="bottom" width="1%" nowrap="nowrap"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> </tr> <tr bgcolor="white"> <td valign="bottom" width="56%" align="left"> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">1-29 days</font></div> </td> <td valign="bottom" width="1%" align="right"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> <td style="TEXT-ALIGN: left" valign="bottom" width="1%"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt"> &#xA0;</font></td> <td style="TEXT-ALIGN: right" valign="bottom" width="19%"> <font style="DISPLAY: inline; 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FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Total</font></div> </td> <td style="BORDER-BOTTOM: black 4px double" valign="bottom" width="1%" align="right"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> <td style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: left" valign="bottom" width="1%"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font></td> <td style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: right" valign="bottom" width="19%"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">1,478,141</font></td> <td style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: left" valign="bottom" width="1%" nowrap="nowrap"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> <td style="BORDER-BOTTOM: black 4px double" valign="bottom" width="1%" align="right"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> <td style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: left" valign="bottom" width="1%"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font></td> <td style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: right" valign="bottom" width="19%"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">1,528,025</font></td> <td style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: left" valign="bottom" width="1%" nowrap="nowrap"><font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#xA0;</font></td> </tr> </table> </div> </div> </div>
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The interest rates of these repurchase agreements are generally indexed to the one-month or the three-month LIBOR rate and re-price accordingly.
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54123000
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