Ticker AI – Arlington Asset Investment – sales, description, marketcap – Tickerday.com


Arlington Asset Investment

Arlington Asset Investment Corp. is a mortgage real estate investment trust headquartered in McLean, Virginia.
The company borrows money, primarily via short term repurchase agreements, and reinvests the proceeds in asset-backed securities. As of December 31, 2019, 94.2% of the company’s assets were mortgage-backed securities issued by either Fannie Mae or Freddie Mac. The company generates profits from the net interest spread between the interest earned from its assets and its borrowing costs, which is amplified from the use of leverage. As of December 31, 2019, the company had a debt-to-equity ratio of 11.2. As of December 31, 2019, the weighted average days to maturity of its repurchase agreements was 23.7 days.

Index: NYSE; Sector: Financial; Industry: Investment Services;

Marketcap: 104.92M; Volume: 63.91K; AvgVol 3m: 264.54K; Beta: 1.58;

Cost estimate:

P/E: ; EPS: -1.84; EPS growth quarter/prev quarter: 138.90%;

EPS growth this year: 109.80%; EPS growth past 5 years: -3.90%;

EPS ttm: -1.84;

P/S: 08.02; P/B: 0.51; P/Cashflow: 7.34; P/FCF: 6.55;

Sales: 12.93M; Sales growth quarter/prev quarter: 165.00%; Sales growth past 5 years: 8.00%;


Gross Margin: ; Profit Margin: ; Operating Margin: ;

ROA – return on assets: -2.40%; ROE – return on equity: -28.10%; LT Debt/Equity: 0.37; Total Debt/Equity: 2.47;

Dividend: 0.68; Dividend Yield (%): 15.38%;

Insider Ownership: 1.90%; Insider Transactions:29.66%;

Institutional Ownership: 36.90%; Institutional Transactions: -12.16%;

Data update: 07/10/2020.

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