Symbols / ADAMM Stock $25.35 +0.24% Adamas Trust, Inc. - 7.875% Ser

Real Estate • REIT - Mortgage • United States • NMS
ADAMM (Stock) Chart
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About

Adamas Trust, Inc. acquires, invests in, finances, and manages mortgage-related single-family and multifamily residential assets in the United States. The company operates through two segments: Investment Portfolio and Constructive. The Investment Portfolio segment manages a diversified portfolio primarily consisting of mortgage-related single-family and multifamily residential investments, including agency residential mortgage-backed securities (RMBS), non-agency RMBS, residential loans, such as business purpose loans, performing, re-performing, non-performing, and seasoned performing, multifamily loans, preferred equity investments, joint venture equity investments, multifamily investments, mezzanine lending, cross-collateralized mezzanine lending, and single-family rental. The Constructive segment is a business purpose loan lender specializing in rental and transitional loans for real estate investors; and origination and sale of loans. The company provides structured multi-family property investments; other mortgage-, residential housing- and credit-related assets and strategic investments; and commercial mortgage-backed securities (CMBS). It generally would not be subject to federal corporate income taxes if it distributes at least 90% of its taxable income to its stockholders. Adamas Trust, Inc. was formerly known as New York Mortgage Trust, Inc. and changed its name to Adamas Trust, Inc. in September 2025. Adamas Trust, Inc. was incorporated in 2003 and is headquartered in New York, New York.

Fundamentals
Scroll to Statements
Market Cap Enterprise Value 13.63B Income 101.11M Sales 315.03M Book/sh Cash/sh 2.33
Dividend Yield 10.75% Payout Employees 221 IPO P/E Forward P/E
PEG P/S P/B P/C EV/EBITDA EV/Sales 43.28
Quick Ratio 31.05 Current Ratio 32.54 Debt/Eq 769.58 LT Debt/Eq EPS (ttm) EPS next Y
EPS Growth Revenue Growth 189.64% Earnings ROA 1.26% ROE 9.69% ROIC
Gross Margin 74.56% Oper. Margin 48.38% Profit Margin 47.31% Shs Outstand Shs Float 84.46M Short Float
Short Ratio 0.92 Short Interest 52W High 25.55 52W Low 23.61 Beta 1.16 Avg Volume 16.90K
Volume 14.65K Target Price Recom None Prev Close $25.29 Price $25.35 Change 0.24%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$25.35
Latest analyst target
3. DCF / Fair value
Simplified FCF or EPS-based estimate
Ratings
Current target
$25.35
Low
High
Mean
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
352.88
+47.71%
238.90
-21.56%
304.58
+3404.54%
8.69
Operating Revenue
352.88
+47.71%
238.90
-21.56%
304.58
+3404.54%
8.69
Selling General And Administration
66.29
+54.96%
42.78
-13.69%
49.56
+3.98%
47.67
General And Administrative Expense
66.29
+54.96%
42.78
-13.69%
49.56
+3.98%
47.67
Salaries And Wages
52.88
+51.97%
34.80
-4.95%
36.61
-7.76%
39.69
Other Gand A
13.41
+67.99%
7.98
-83.89%
49.56
+521.12%
7.98
Reconciled Depreciation
39.70
-33.87%
60.04
+15.20%
52.12
-65.93%
152.96
Total Unusual Items
-5.27
+83.44%
-31.81
+69.91%
-105.71
-725.62%
16.90
Total Unusual Items Excluding Goodwill
-5.27
+83.44%
-31.81
+69.91%
-105.71
-725.62%
16.90
Special Income Charges
-10.65
+82.14%
-59.64
+43.58%
-105.71
-44883.40%
-0.23
Other Special Charges
-0.62
Impairment Of Capital Assets
0.00
Write Off
9.77
-80.02%
48.88
-45.42%
89.55
+3556.51%
2.45
Net Income
149.05
+340.29%
-62.03
-27.46%
-48.66
+83.70%
-298.61
Pretax Income
137.80
+248.31%
-92.92
-19.55%
-77.72
+77.15%
-340.11
Net Interest Income
149.30
+78.05%
83.86
+26.05%
66.53
-48.42%
128.97
Interest Expense
452.65
+42.60%
317.43
+65.21%
192.13
+48.46%
129.42
Interest Income
601.95
+50.01%
401.28
+55.14%
258.66
+0.11%
258.39
Other Non Operating Income Expenses
Gain On Sale Of Security
86.93
+197.18%
29.25
-52.47%
61.54
+122.42%
-274.51
Gain On Sale Of Business
0.00
+100.00%
-8.52
+47.28%
-16.16
0.00
Tax Provision
0.14
-86.00%
1.04
+1281.33%
0.07
-86.16%
0.54
Tax Rate For Calcs
0.00
-99.52%
0.00
+0.00%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
-0.01
+99.92%
-6.68
+69.91%
-22.20
-725.62%
3.55
Net Income Including Noncontrolling Interests
137.66
+246.52%
-93.95
-20.76%
-77.80
+77.16%
-340.65
Net Income From Continuing Operation Net Minority Interest
149.05
+340.29%
-62.03
-27.46%
-48.66
+83.70%
-298.61
Net Income From Continuing And Discontinued Operation
149.05
+340.29%
-62.03
-27.46%
-48.66
+83.70%
-298.61
Net Income Continuous Operations
137.66
+246.52%
-93.95
-20.76%
-77.80
+77.16%
-340.65
Minority Interests
11.39
-64.32%
31.92
+9.58%
29.13
-30.71%
42.04
Normalized Income
154.31
+518.19%
-36.90
-205.89%
34.85
+111.17%
-311.95
Net Income Common Stockholders
101.11
+197.42%
-103.78
-15.27%
-90.03
+73.56%
-340.58
Otherunder Preferred Stock Dividend
-0.47
Diluted NI Availto Com Stockholders
101.11
+197.42%
-103.78
-15.27%
-90.03
+73.56%
-340.58
Average Dilution Earnings
Amortization
Amortization Of Intangibles Income Statement
Depreciation Amortization Depletion Income Statement
23.12
-41.93%
39.82
+61.75%
24.62
-80.59%
126.82
Depreciation And Amortization In Income Statement
23.12
-41.93%
39.82
+61.75%
24.62
-80.59%
126.82
Depreciation Income Statement
Other Non Interest Expense
107.81
-39.66%
178.68
-11.72%
202.41
+19.56%
169.30
Preferred Stock Dividends
47.94
+14.81%
41.76
-0.19%
41.84
-0.32%
41.97
Professional Expense And Contract Services Expense
6.36
+8.00%
5.89
+24.07%
4.75
-0.48%
4.77
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
12,638.85
+37.12%
9,217.28
+24.54%
7,401.33
+18.60%
6,240.74
Cash And Cash Equivalents
210.33
+25.63%
167.42
-10.52%
187.11
-23.54%
244.72
Other Short Term Investments
6,904.78
+80.35%
3,828.54
+90.11%
2,013.82
+1922.74%
99.56
Receivables
159.62
+5.57%
151.20
+133.12%
64.86
+6.68%
60.80
Accounts Receivable
76.15
+22.68%
62.08
+66.37%
37.31
+9.53%
34.07
Other Receivables
83.47
-6.35%
89.13
+223.53%
27.55
+3.06%
26.73
Prepaid Assets
15.40
-11.43%
17.39
-5.11%
18.33
+31.11%
13.98
Net PPE
5.17
-5.22%
5.46
-17.03%
6.58
-15.96%
7.83
Gross PPE
5.17
-5.22%
5.46
-17.03%
6.58
-15.96%
7.83
Other Properties
5.17
-5.22%
5.46
-17.03%
6.58
-15.96%
7.83
Goodwill And Other Intangible Assets
60.61
+185.14%
21.25
+793.82%
2.38
0.00
Goodwill
22.40
0.00
Other Intangible Assets
38.21
+79.77%
21.25
+793.82%
2.38
Investments And Advances
6,929.49
+75.78%
3,942.04
+82.42%
2,160.93
+673.68%
279.31
Total Liabilities Net Minority Interest
11,208.41
+43.58%
7,806.15
+35.21%
5,773.20
+31.91%
4,376.63
Payables And Accrued Expenses
151.80
+50.01%
101.19
+13.55%
89.12
+2.77%
86.71
Payables
118.72
+49.46%
79.43
+42.34%
55.80
-7.95%
60.62
Accounts Payable
59.11
+44.13%
41.02
+73.40%
23.65
+122.53%
10.63
Other Payable
24.27
+198.28%
8.14
Dividends Payable
35.33
+16.68%
30.28
-5.82%
32.15
-35.69%
50.00
Current Accrued Expenses
33.09
+52.04%
21.76
-34.67%
33.31
+27.70%
26.09
Long Term Debt And Capital Lease Obligation
4,254.92
+19.68%
3,555.18
+26.74%
2,805.15
+5.93%
2,648.19
Long Term Debt
4,249.37
+19.73%
3,549.25
+26.85%
2,798.05
+5.99%
2,639.81
Long Term Capital Lease Obligation
5.55
-6.50%
5.93
-16.43%
7.10
-15.28%
8.38
Non Current Deferred Liabilities
20.08
+32.97%
15.10
+101.83%
7.48
-0.58%
7.53
Non Current Deferred Revenue
7.32
+25.77%
5.82
+6.36%
5.47
-23.31%
7.13
Non Current Deferred Taxes Liabilities
12.76
+37.48%
9.28
+361.33%
2.01
+410.66%
0.39
Preferred Securities Outside Stock Equity
Stockholders Equity
1,426.92
+2.31%
1,394.72
-11.70%
1,579.61
-10.62%
1,767.22
Common Stock Equity
886.45
+3.16%
859.27
-17.71%
1,044.17
-15.03%
1,228.87
Capital Stock
541.38
+0.94%
536.35
0.00%
536.35
-0.54%
539.26
Common Stock
0.90
-0.33%
0.91
-0.11%
0.91
-0.55%
0.91
Preferred Stock
540.47
+0.94%
535.45
+0.00%
535.45
-0.54%
538.35
Share Issued
90.30
-0.30%
90.57
-0.11%
90.68
-0.57%
91.19
Ordinary Shares Number
90.30
-0.30%
90.57
-0.11%
90.68
-0.57%
91.19
Additional Paid In Capital
2,294.19
+0.22%
2,289.04
-0.35%
2,297.08
+0.63%
2,282.69
Retained Earnings
-1,408.65
+1.54%
-1,430.67
-14.11%
-1,253.82
-19.10%
-1,052.77
Gains Losses Not Affecting Retained Earnings
0.00
0.00
+100.00%
-0.00
+99.80%
-1.97
Minority Interest
3.52
-78.59%
16.41
-66.17%
48.51
-49.93%
96.89
Other Equity Adjustments
-0.00
+99.80%
-1.97
Total Equity Gross Minority Interest
1,430.44
+1.37%
1,411.13
-13.33%
1,628.13
-12.66%
1,864.11
Total Capitalization
5,676.29
+14.81%
4,943.97
+12.94%
4,377.66
-0.67%
4,407.02
Invested Capital
5,135.82
+16.50%
4,408.52
+14.74%
3,842.22
-0.68%
3,868.67
Total Debt
4,254.92
+19.68%
3,555.18
+26.74%
2,805.15
+5.93%
2,648.19
Net Debt
4,039.04
+19.43%
3,381.82
+29.53%
2,610.94
+9.01%
2,395.09
Capital Lease Obligations
5.55
-6.50%
5.93
-16.43%
7.10
-15.28%
8.38
Net Tangible Assets
1,366.32
-0.52%
1,373.46
-12.92%
1,577.23
-10.75%
1,767.22
Tangible Book Value
825.84
-1.45%
838.02
-19.56%
1,041.79
-15.22%
1,228.87
Available For Sale Securities
24.71
-78.23%
113.49
-22.86%
147.12
-18.15%
179.75
Cash Cash Equivalents And Federal Funds Sold
342.38
+4.06%
329.02
-0.49%
330.64
-13.20%
380.94
Preferred Shares Number
22.39
+1.00%
22.16
+0.00%
22.16
-0.54%
22.28
Preferred Stock Equity
540.47
+0.94%
535.45
+0.00%
535.45
-0.54%
538.35
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
134.04
+852.60%
14.07
-53.02%
29.95
-67.37%
91.78
Cash Flow From Continuing Operating Activities
134.04
+852.60%
14.07
-53.02%
29.95
-67.37%
91.78
Net Income From Continuing Operations
137.66
+246.52%
-93.95
-20.76%
-77.80
+77.16%
-340.65
Depreciation Amortization Depletion
39.70
-33.87%
60.04
+15.20%
52.12
-65.93%
152.96
Depreciation
23.12
-41.93%
39.82
+61.75%
24.62
-80.59%
126.82
Amortization Cash Flow
16.58
-18.00%
20.22
-26.48%
27.50
+5.21%
26.14
Depreciation And Amortization
39.70
-33.87%
60.04
+15.20%
52.12
-65.93%
152.96
Amortization Of Intangibles
16.58
-18.00%
20.22
-26.48%
27.50
+5.21%
26.14
Other Non Cash Items
12.62
+140.60%
-31.09
+58.05%
-74.10
-121.33%
347.36
Stock Based Compensation
8.20
+35.09%
6.07
-31.24%
8.82
-25.81%
11.89
Asset Impairment Charge
9.77
-80.02%
48.88
-45.42%
89.55
+3556.51%
2.45
Operating Gains Losses
85.76
+213.30%
-75.70
-443.55%
22.03
+118.79%
-117.28
Gain Loss On Investment Securities
34.76
+2753.86%
1.22
-91.50%
14.32
+178.07%
-18.34
Unrealized Gain Loss On Investment Securities
-182.90
-301.80%
90.64
+342.20%
-37.42
-247.97%
25.29
Gain Loss On Sale Of PPE
3.54
+674.84%
-0.62
0.00
Change In Working Capital
12.24
+181.38%
-15.04
+10.22%
-16.75
-13.27%
-14.79
Change In Other Working Capital
12.24
+181.38%
-15.04
+10.22%
-16.75
-13.27%
-14.79
Change In Other Current Assets
Change In Other Current Liabilities
Investing Cash Flow
-2,897.12
-29.08%
-2,244.43
-83.98%
-1,219.93
-139.78%
-508.77
Cash Flow From Continuing Investing Activities
-2,897.12
-29.08%
-2,244.43
-83.98%
-1,219.93
-139.78%
-508.77
Capital Expenditure
-9.47
Net Investment Purchase And Sale
-2,925.86
-64.20%
-1,781.94
+4.51%
-1,866.13
-6240.49%
-29.43
Purchase Of Investment
-4,434.53
-100.08%
-2,216.39
-5.83%
-2,094.23
-808.42%
-230.53
Sale Of Investment
1,508.68
+247.26%
434.45
+90.47%
228.10
+13.42%
201.10
Net Business Purchase And Sale
-16.73
0.00
-100.00%
0.10
-98.52%
6.90
Purchase Of Business
-16.73
0.00
0.00
Gain Loss On Sale Of Business
1.95
-89.07%
17.85
-26.93%
24.43
+275.20%
-13.94
Net Intangibles Purchase And Sale
0.00
+100.00%
-9.47
0.00
0.00
Purchase Of Intangibles
0.00
+100.00%
-9.47
0.00
0.00
Financing Cash Flow
2,776.44
+24.57%
2,228.75
+95.56%
1,139.68
+147.72%
460.07
Cash Flow From Continuing Financing Activities
2,776.44
+24.57%
2,228.75
+95.56%
1,139.68
+147.72%
460.07
Net Issuance Payments Of Debt
293.73
-64.43%
825.71
+306.39%
-400.07
-175.28%
531.42
Issuance Of Debt
1,141.29
-19.07%
1,410.15
0.00
-100.00%
973.18
Repayment Of Debt
-847.57
-45.02%
-584.44
-46.08%
-400.07
+9.44%
-441.76
Long Term Debt Issuance
1,141.29
-19.07%
1,410.15
0.00
-100.00%
973.18
Long Term Debt Payments
-847.57
-45.02%
-584.44
-46.08%
-400.07
+9.44%
-441.76
Net Long Term Debt Issuance
293.73
-64.43%
825.71
+306.39%
-400.07
-175.28%
531.42
Net Common Stock Issuance
-1.50
+57.00%
-3.49
+59.45%
-8.62
+80.60%
-44.40
Common Stock Payments
-1.50
+57.00%
-3.49
+59.45%
-8.62
+80.60%
-44.40
Common Stock Dividend Paid
-75.51
-0.75%
-74.94
+41.81%
-128.80
+15.12%
-151.75
Cash Dividends Paid
-121.97
-4.51%
-116.70
+31.63%
-170.69
+11.63%
-193.16
Repurchase Of Capital Stock
-1.50
+57.00%
-3.49
+68.40%
-11.05
+75.10%
-44.40
Net Other Financing Charges
-3.06
+75.58%
-12.52
-41.27%
-8.86
+30.93%
-12.83
Changes In Cash
13.35
+925.34%
-1.62
+96.78%
-50.30
-216.76%
43.08
Beginning Cash Position
329.02
-0.49%
330.64
-13.20%
380.94
+12.75%
337.86
End Cash Position
342.38
+4.06%
329.02
-0.49%
330.64
-13.20%
380.94
Free Cash Flow
134.04
+2813.28%
4.60
-84.64%
29.95
-67.37%
91.78
Interest Paid Supplemental Data
448.29
+30.04%
344.73
+37.97%
249.85
+54.95%
161.25
Income Tax Paid Supplemental Data
0.22
0.23
-91.59%
2.67
Common Stock Issuance
0.00
Dividend Received CFO
25.44
+5.03%
24.22
-7.11%
26.08
-47.67%
49.83
Dividends Received CFI
Earnings Losses From Equity Investments
-5.43
+79.75%
-26.80
+6.87%
-28.77
+4.60%
-30.16
Issuance Of Capital Stock
5.03
0.00
0.00
0.00
Net Investment Properties Purchase And Sale
-8.15
+66.92%
-24.65
+51.11%
-50.41
+75.92%
-209.37
Net Preferred Stock Issuance
5.03
0.00
+100.00%
-2.44
0.00
Preferred Stock Dividend Paid
-46.46
-11.27%
-41.76
+0.33%
-41.89
-1.18%
-41.40
Preferred Stock Issuance
5.03
0.00
0.00
0.00
Preferred Stock Payments
0.00
0.00
+100.00%
-2.44
0.00
Purchase Of Investment Properties
-8.15
+66.92%
-24.65
+51.11%
-50.41
+75.92%
-209.37
Sale Of Business
0.00
0.00
-100.00%
0.10
-98.52%
6.90
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