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SUMMARY QUARTERLY CONSOLIDATED FINANCIAL INFORMATION (UNAUDITED) - Balance Sheet (Details) - USD ($)
Dec. 31, 2023
Sep. 30, 2023
Jun. 30, 2023
Mar. 31, 2023
Dec. 31, 2022
Sep. 30, 2022
Aug. 05, 2022
Jun. 30, 2022
Mar. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Assets                      
Mortgage servicing rights and mortgage servicing rights financing receivables, at fair value $ 8,405,938,000 [1] $ 8,694,868,000 $ 8,688,556,000 $ 8,886,209,000 $ 8,889,403,000 [1] $ 9,217,242,000   $ 8,963,459,000 $ 8,305,652,000    
Real estate and other securities (includes $9,337,159 and $7,952,889 at fair value, respectively) 9,361,712,000 9,878,711,000 9,354,047,000 8,648,081,000 7,952,889,000 9,517,176,000   8,107,841,000 9,642,010,000    
Residential mortgage loans, held-for-investment, at fair value 379,044,000 370,957,000 400,206,000 766,784,000 452,519,000 864,534,000   934,479,000 1,009,459,000    
Residential mortgage loans, held-for-sale 2,540,742,000 [1] 2,819,282,000 3,092,667,000 2,841,320,000 3,398,298,000 [1] 4,037,411,000   5,410,989,000 7,202,475,000    
Consumer loans held-for-investment, at fair value 1,274,005,000 [1] 1,436,080,000 1,602,571,000   363,756,000 [1]            
Single-family rental properties 1,001,928,000 991,948,000 965,194,000 968,987,000 971,313,000 959,448,000   927,227,000 814,871,000    
Mortgage loans receivable, at fair value 1,879,319,000 1,787,363,000 1,592,172,000 1,596,924,000 1,714,053,000 1,570,002,000   1,403,212,000 1,375,273,000    
Residential mortgage loans subject to repurchase 1,782,998,000 1,443,546,000 1,296,097,000 1,189,907,000 1,219,890,000 1,897,142,000   1,758,509,000 1,700,426,000 $ 1,787,314,000  
Cash and cash equivalents 1,287,199,000 1,217,283,000 1,369,025,000 1,434,697,000 1,336,508,000 1,420,010,000   1,510,848,000 1,671,177,000    
Restricted cash 409,896,000 355,588,000 306,841,000 354,495,000 292,820,000 521,232,000   429,189,000 233,665,000    
Servicer advances receivable 2,760,250,000 2,434,266,000 2,447,918,000 2,594,271,000 2,825,485,000 2,522,246,000   2,560,696,000 2,652,210,000    
Receivable for investments sold 0 219,963,000     473,126,000            
Reverse repurchase agreements 1,769,601,000       0            
Other assets 3,144,823,000 [1] 2,422,650,000 2,037,680,000 1,838,266,000 1,914,372,000 [1] 2,158,067,000   1,928,493,000 2,646,068,000    
Assets of consolidated CFEs                      
Investments, at fair value and other assets 3,751,477,000 2,718,560,000 2,846,314,000 2,778,684,000 2,803,138,000 2,597,681,000   2,515,247,000 2,446,146,000    
Total assets 39,717,084,000 36,791,065,000 35,999,288,000 33,898,625,000 34,586,508,000 37,282,191,000   36,450,189,000 39,699,432,000    
Liabilities                      
Secured financing agreements 12,561,283,000 [1] 13,605,380,000 12,757,428,000 11,760,930,000 11,257,736,000 [1] 13,655,247,000   13,967,234,000 17,281,873,000    
Aggregate principal amount 10,360,188,000 [1] 9,657,627,000 10,002,751,000 9,417,192,000 9,786,025,000 [1] 9,341,747,000   9,004,612,000 8,955,533,000    
Residential mortgage loan repurchase liability 1,782,998,000 1,443,546,000 1,296,097,000 1,189,907,000 1,219,890,000 1,897,142,000   1,758,509,000 1,700,426,000    
Unsecured notes, net of issuance costs 719,004,000 546,374,000 545,930,000 545,490,000 545,056,000 544,612,000   544,167,000 543,728,000    
Due to affiliates       0         9,932,000    
Payable for investments purchased 0     0 731,216,000 498,933,000          
Treasury securities payable 1,827,281,000       0            
Dividends payable 135,897,000 135,095,000 134,188,000 131,941,000 129,760,000 129,632,000   127,913,000 127,895,000    
Accrued expenses and other liabilities (includes $51,765 and $18,064 at fair value, respectively) 2,065,761,000 [1] 1,781,997,000 1,614,408,000 1,506,876,000 1,486,318,000 [1] 1,893,252,000   1,770,691,000 1,740,344,000    
Liabilities of consolidated CFEs                      
Notes payable, at fair value and other liabilities 3,163,634,000 2,353,083,000 2,453,802,000 2,391,746,000 2,420,439,000 2,260,000,000   2,214,065,000 2,154,989,000    
Total liabilities 32,616,046,000 29,523,102,000 28,804,604,000 26,944,082,000 27,576,440,000 30,220,565,000   29,387,191,000 32,514,720,000    
Equity                      
Preferred stock, $0.01 par value, 100,000,000 shares authorized, 51,964,122 and 51,964,122 issued and outstanding, $1,299,104 and $1,299,104 aggregate liquidation preference, respectively 1,257,254,000 1,257,254,000 1,257,254,000 1,257,254,000 1,257,254,000 1,258,667,000   1,258,667,000 1,258,667,000    
Common stock, $0.01 par value, 2,000,000,000 shares authorized, 483,226,239 and 473,715,100 issued and outstanding, respectively 4,833,000 4,833,000 4,834,000 4,832,000 4,739,000 4,739,000   4,670,000 4,669,000    
Additional paid-in capital 6,074,322,000 6,070,970,000 6,068,613,000 6,062,051,000 6,062,019,000 6,060,671,000   6,060,740,000 6,059,981,000    
Retained earnings (accumulated deficit) (373,141,000) (164,010,000) (236,222,000) (470,562,000) (418,662,000) (381,843,000)   (387,870,000) (267,878,000)    
Accumulated other comprehensive income 43,674,000 39,009,000 39,954,000 40,631,000 37,651,000 48,337,000   57,620,000 67,195,000    
Total Rithm Capital stockholders’ equity 7,006,942,000 7,208,056,000 7,134,433,000 6,894,206,000 6,943,001,000 6,990,571,000   6,993,827,000 7,122,634,000    
Noncontrolling interests in equity of consolidated subsidiaries 94,096,000 59,907,000 60,251,000 60,337,000 67,067,000 71,055,000   69,171,000 62,078,000    
Total Equity 7,101,038,000 7,267,963,000 7,194,684,000 6,954,543,000 7,010,068,000 7,061,626,000   7,062,998,000 7,184,712,000 6,669,380,000 $ 5,429,684,000
Liabilities and Equity 39,717,084,000 36,791,065,000 35,999,288,000 33,898,625,000 34,586,508,000 37,282,191,000   36,450,189,000 39,699,432,000    
Balance Sheet Parenthetical [Abstract]                      
Real estate and other securities at fair value 9,337,159,000 9,201,474,000 8,722,018,000   7,952,889,000            
Residential mortgage loans, held-for-sale, at fair value 2,461,865,000 2,740,599,000 3,008,722,000 2,743,809,000 3,297,271,000 3,933,392,000   5,293,936,000 7,076,916,000    
Other assets at fair value 1,167,563,000 817,162,000 816,546,000 786,594,000 921,373,000 580,341,000   441,065,000 $ 792,279,000    
Secured notes and bonds payable, at fair value 235,770,000 245,695,000 261,866,000 286,653,000 319,486,000 341,287,000   380,662,000      
Accrued expenses and other liabilities at fair value $ 51,765,000 $ 9,639,000 $ 9,372,000 $ 46,954,000 $ 18,064,000 $ 67,314,000   $ 57,224,000      
Preferred stock, par value (in dollars per share) $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01   $ 0.01 $ 10.00    
Preferred stock, shares authorized (in shares) 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000   100,000,000 100,000,000    
Preferred stock, shares issued (in shares) 51,964,122 51,964,122 51,964,122 51,964,122 51,964,122 52,038,000   52,038,000 52,038,000    
Preferred stock, shares outstanding (in shares) 51,964,122 51,964,122 51,964,122 51,964,122 51,964,122 52,038,000   52,038,000 52,038,000    
Liquidation preference $ 1,299,104,000 $ 1,299,104,000 $ 1,299,104,000,000 $ 1,299,104,000 $ 1,299,104,000 $ 1,300,959,000   $ 1,300,959,000 $ 1,300,959,000    
Common stock, par value (in dollars per share) $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01 $ 0.01    
Common stock, shares authorized (in shares) 2,000,000,000 2,000,000,000 2,000,000,000 2,000,000,000 2,000,000,000 2,000,000,000   2,000,000,000 2,000,000,000    
Common stock, shares issued (in shares) 483,226,239 483,214,061 483,320,606 483,017,747 473,715,100 473,715,100   466,856,753 466,786,526    
Common stock, shares outstanding (in shares) 483,226,239 483,214,061 483,320,606 483,017,747 473,715,100 473,715,100   466,856,753 466,786,526    
As Reported                      
Assets                      
Mortgage servicing rights and mortgage servicing rights financing receivables, at fair value $ 8,405,938,000 $ 8,694,868,000 $ 8,688,556,000 $ 8,886,209,000 $ 8,889,403,000 $ 9,217,242,000   $ 8,963,459,000 $ 8,305,652,000    
Real estate and other securities (includes $9,337,159 and $7,952,889 at fair value, respectively) 9,782,217,000 10,193,596,000 9,701,000,000 8,987,572,000 8,289,277,000 9,808,426,000   8,368,703,000 9,900,700,000    
Residential mortgage loans, held-for-investment, at fair value 379,044,000 370,957,000 400,206,000 766,784,000 452,519,000 864,534,000   934,479,000 1,009,459,000    
Residential mortgage loans, held-for-sale 2,540,742,000 2,819,282,000 3,092,667,000 2,841,320,000 3,398,298,000 4,037,411,000   5,410,989,000 7,202,475,000    
Consumer loans held-for-investment, at fair value 1,274,005,000 1,436,080,000 1,602,571,000   363,756,000            
Single-family rental properties 1,001,928,000 991,948,000 965,194,000 968,987,000 971,313,000 959,448,000   927,227,000 814,871,000    
Mortgage loans receivable, at fair value 2,232,913,000 2,135,424,000 1,939,499,000 1,946,422,000 2,064,028,000 1,919,913,000   1,756,079,000 1,670,415,000    
Residential mortgage loans subject to repurchase 1,782,998,000 1,443,546,000 1,296,097,000 1,189,907,000 1,219,890,000 1,897,142,000   1,758,509,000 1,700,426,000 1,787,314,000  
Cash and cash equivalents 1,287,199,000 1,217,283,000 1,369,025,000 1,434,697,000 1,336,508,000 1,420,010,000   1,510,848,000 1,671,177,000    
Restricted cash   368,447,000 319,765,000 365,649,000   529,565,000   433,960,000 295,037,000    
Servicer advances receivable 2,760,250,000 2,434,266,000 2,447,918,000 2,594,271,000 2,825,485,000 2,522,246,000   2,560,696,000 2,652,210,000    
Receivable for investments sold   219,963,000     473,126,000            
Reverse repurchase agreements 0                    
Other assets 3,478,931,000 2,419,868,000 2,035,581,000 1,836,833,000 1,914,607,000 2,158,598,000   1,928,898,000 2,646,125,000    
Assets of consolidated CFEs                      
Investments, at fair value and other assets 0 0 0 0 0 0   0 0    
Total assets 35,311,785,000 34,745,528,000 33,858,079,000 31,818,651,000 32,479,336,000 35,334,535,000   34,553,847,000 37,868,547,000    
Liabilities                      
Secured financing agreements 12,561,283,000 13,605,380,000 12,757,428,000 11,760,930,000 11,257,736,000 13,655,247,000   13,967,234,000 17,281,873,000    
Aggregate principal amount 10,679,186,000 9,964,855,000 10,315,006,000 9,728,605,000 10,098,943,000 9,653,664,000   9,322,026,000 9,279,595,000    
Residential mortgage loan repurchase liability 1,782,998,000 1,443,546,000 1,296,097,000 1,189,907,000 1,219,890,000 1,897,142,000   1,758,509,000 1,700,426,000    
Unsecured notes, net of issuance costs 719,004,000 546,374,000 545,930,000 545,490,000 545,056,000 544,612,000   544,167,000 543,728,000    
Due to affiliates       0         9,932,000    
Payable for investments purchased       0 731,216,000 498,933,000          
Treasury securities payable 0                    
Dividends payable 135,897,000 135,095,000 134,188,000 131,941,000 129,760,000 129,632,000   127,913,000 127,895,000    
Accrued expenses and other liabilities (includes $51,765 and $18,064 at fair value, respectively) 2,332,379,000 1,782,315,000 1,614,746,000 1,507,235,000 1,486,667,000 1,893,679,000   1,771,000,000 1,740,386,000    
Liabilities of consolidated CFEs                      
Notes payable, at fair value and other liabilities 0 0 0 0 0 0   0 0    
Total liabilities 28,210,747,000 27,477,565,000 26,663,395,000 24,864,108,000 25,469,268,000 28,272,909,000   27,490,849,000 30,683,835,000    
Equity                      
Preferred stock, $0.01 par value, 100,000,000 shares authorized, 51,964,122 and 51,964,122 issued and outstanding, $1,299,104 and $1,299,104 aggregate liquidation preference, respectively 1,257,254,000 1,257,254,000 1,257,254,000 1,257,254,000 1,257,254,000 1,258,667,000   1,258,667,000 1,258,667,000    
Common stock, $0.01 par value, 2,000,000,000 shares authorized, 483,226,239 and 473,715,100 issued and outstanding, respectively 4,833,000 4,833,000 4,834,000 4,832,000 4,739,000 4,739,000   4,670,000 4,669,000    
Additional paid-in capital 6,074,322,000 6,070,970,000 6,068,613,000 6,062,051,000 6,062,019,000 6,060,671,000   6,060,740,000 6,059,981,000    
Retained earnings (accumulated deficit) (373,141,000) (164,010,000) (236,222,000) (470,562,000) (418,662,000) (381,843,000)   (387,870,000) (267,878,000)    
Accumulated other comprehensive income 43,674,000 39,009,000 39,954,000 40,631,000 37,651,000 48,337,000   57,620,000 67,195,000    
Total Rithm Capital stockholders’ equity 7,006,942,000 7,208,056,000 7,134,433,000 6,894,206,000 6,943,001,000 6,990,571,000   6,993,827,000 7,122,634,000    
Noncontrolling interests in equity of consolidated subsidiaries 94,096,000 59,907,000 60,251,000 60,337,000 67,067,000 71,055,000   69,171,000 62,078,000    
Total Equity 7,101,038,000 7,267,963,000 7,194,684,000 6,954,543,000 7,010,068,000 7,061,626,000   7,062,998,000 7,184,712,000    
Liabilities and Equity 35,311,785,000 34,745,528,000 33,858,079,000 31,818,651,000 32,479,336,000 35,334,535,000   34,553,847,000 37,868,547,000    
Error Adjustments                      
Assets                      
Mortgage servicing rights and mortgage servicing rights financing receivables, at fair value 0 0 0 0 0 0   0 0    
Real estate and other securities (includes $9,337,159 and $7,952,889 at fair value, respectively) (420,505,000) (314,885,000) (346,953,000) (339,491,000) (336,388,000) (291,250,000)   (260,862,000) (258,690,000)    
Residential mortgage loans, held-for-investment, at fair value 0 0 0 0 0 0   0 0    
Residential mortgage loans, held-for-sale 0 0 0 0 0 0   0 0    
Consumer loans held-for-investment, at fair value 0 0 0   0            
Single-family rental properties 0 0 0 0 0 0   0 0    
Mortgage loans receivable, at fair value 0 0 0 0 0 0   0 0    
Residential mortgage loans subject to repurchase 0 0 0 0 0 0   0 0 0  
Cash and cash equivalents 0 0 0 0 0 0   0 0    
Restricted cash   0 0 0   0   0 0    
Servicer advances receivable 0 0 0 0 0 0   0 0    
Receivable for investments sold   0     0            
Reverse repurchase agreements 1,769,601,000                    
Other assets (6,660,000) 0 0 0 0 0   0 0    
Assets of consolidated CFEs                      
Investments, at fair value and other assets 3,044,850,000 2,360,422,000 2,488,162,000 2,419,465,000 2,443,560,000 2,238,906,000   2,157,204,000 2,089,575,000    
Total assets 4,405,299,000 2,045,537,000 2,141,209,000 2,079,974,000 2,107,172,000 1,947,656,000   1,896,342,000 1,830,885,000    
Liabilities                      
Secured financing agreements 0 0 0 0 0 0   0 0    
Aggregate principal amount 0 0 0 0 0 0   0 0    
Residential mortgage loan repurchase liability 0 0 0 0 0 0   0 0    
Unsecured notes, net of issuance costs 0 0 0 0 0 0   0 0    
Due to affiliates       0         0    
Payable for investments purchased       0 0 0          
Treasury securities payable 1,827,281,000                    
Dividends payable 0 0 0 0 0 0   0 0    
Accrued expenses and other liabilities (includes $51,765 and $18,064 at fair value, respectively) (46,326,000) 0 0 0 0 0   0 0    
Liabilities of consolidated CFEs                      
Notes payable, at fair value and other liabilities 2,624,344,000 2,045,537,000 2,141,209,000 2,079,974,000 2,107,172,000 1,947,656,000   1,896,342,000 1,830,885,000    
Total liabilities 4,405,299,000 2,045,537,000 2,141,209,000 2,079,974,000 2,107,172,000 1,947,656,000   1,896,342,000 1,830,885,000    
Equity                      
Preferred stock, $0.01 par value, 100,000,000 shares authorized, 51,964,122 and 51,964,122 issued and outstanding, $1,299,104 and $1,299,104 aggregate liquidation preference, respectively 0 0 0 0 0 0   0 0    
Common stock, $0.01 par value, 2,000,000,000 shares authorized, 483,226,239 and 473,715,100 issued and outstanding, respectively 0 0 0 0 0 0   0 0    
Additional paid-in capital 0 0 0 0 0 0   0 0    
Retained earnings (accumulated deficit) 0 0 0 0 0 0   0 0    
Accumulated other comprehensive income 0 0 0 0 0 0   0 0    
Total Rithm Capital stockholders’ equity 0 0 0 0 0 0   0 0    
Noncontrolling interests in equity of consolidated subsidiaries 0 0 0 0 0 0   0 0    
Total Equity 0 0 0 0 0 0   0 0    
Liabilities and Equity 4,405,299,000 2,045,537,000 2,141,209,000 2,079,974,000 2,107,172,000 1,947,656,000   1,896,342,000 1,830,885,000    
Subtotal                      
Assets                      
Mortgage servicing rights and mortgage servicing rights financing receivables, at fair value 8,405,938,000 8,694,868,000 8,688,556,000 8,886,209,000 8,889,403,000 9,217,242,000   8,963,459,000 8,305,652,000    
Real estate and other securities (includes $9,337,159 and $7,952,889 at fair value, respectively) 9,361,712,000 9,878,711,000 9,354,047,000 8,648,081,000 7,952,889,000 9,517,176,000   8,107,841,000 9,642,010,000    
Residential mortgage loans, held-for-investment, at fair value 379,044,000 370,957,000 400,206,000 766,784,000 452,519,000 864,534,000   934,479,000 1,009,459,000    
Residential mortgage loans, held-for-sale 2,540,742,000 2,819,282,000 3,092,667,000 2,841,320,000 3,398,298,000 4,037,411,000   5,410,989,000 7,202,475,000    
Consumer loans held-for-investment, at fair value 1,274,005,000 1,436,080,000 1,602,571,000   363,756,000            
Single-family rental properties 1,001,928,000 991,948,000 965,194,000 968,987,000 971,313,000 959,448,000   927,227,000 814,871,000    
Mortgage loans receivable, at fair value 2,232,913,000 2,135,424,000 1,939,499,000 1,946,422,000 2,064,028,000 1,919,913,000   1,756,079,000 1,670,415,000    
Residential mortgage loans subject to repurchase 1,782,998,000 1,443,546,000 1,296,097,000 1,189,907,000 1,219,890,000 1,897,142,000   1,758,509,000 1,700,426,000 1,787,314,000  
Cash and cash equivalents 1,287,199,000 1,217,283,000 1,369,025,000 1,434,697,000 1,336,508,000 1,420,010,000   1,510,848,000 1,671,177,000    
Restricted cash   368,447,000 319,765,000 365,649,000   529,565,000   433,960,000 295,037,000    
Servicer advances receivable 2,760,250,000 2,434,266,000 2,447,918,000 2,594,271,000 2,825,485,000 2,522,246,000   2,560,696,000 2,652,210,000    
Receivable for investments sold   219,963,000     473,126,000            
Reverse repurchase agreements 1,769,601,000                    
Other assets 3,472,271,000 2,419,868,000 2,035,581,000 1,836,833,000 1,914,607,000 2,158,598,000   1,928,898,000 2,646,125,000    
Assets of consolidated CFEs                      
Investments, at fair value and other assets 3,044,850,000 2,360,422,000 2,488,162,000 2,419,465,000 2,443,560,000 2,238,906,000   2,157,204,000 2,089,575,000    
Total assets 39,717,084,000 36,791,065,000 35,999,288,000 33,898,625,000 34,586,508,000 37,282,191,000   36,450,189,000 39,699,432,000    
Liabilities                      
Secured financing agreements 12,561,283,000 13,605,380,000 12,757,428,000 11,760,930,000 11,257,736,000 13,655,247,000   13,967,234,000 17,281,873,000    
Aggregate principal amount 10,679,186,000 9,964,855,000 10,315,006,000 9,728,605,000 10,098,943,000 9,653,664,000   9,322,026,000 9,279,595,000    
Residential mortgage loan repurchase liability 1,782,998,000 1,443,546,000 1,296,097,000 1,189,907,000 1,219,890,000 1,897,142,000   1,758,509,000 1,700,426,000    
Unsecured notes, net of issuance costs 719,004,000 546,374,000 545,930,000 545,490,000 545,056,000 544,612,000   544,167,000 543,728,000    
Due to affiliates       0         9,932,000    
Payable for investments purchased       0 731,216,000 498,933,000          
Treasury securities payable 1,827,281,000                    
Dividends payable 135,897,000 135,095,000 134,188,000 131,941,000 129,760,000 129,632,000   127,913,000 127,895,000    
Accrued expenses and other liabilities (includes $51,765 and $18,064 at fair value, respectively) 2,286,053,000 1,782,315,000 1,614,746,000 1,507,235,000 1,486,667,000 1,893,679,000   1,771,000,000 1,740,386,000    
Liabilities of consolidated CFEs                      
Notes payable, at fair value and other liabilities 2,624,344,000 2,045,537,000 2,141,209,000 2,079,974,000 2,107,172,000 1,947,656,000   1,896,342,000 1,830,885,000    
Total liabilities 32,616,046,000 29,523,102,000 28,804,604,000 26,944,082,000 27,576,440,000 30,220,565,000   29,387,191,000 32,514,720,000    
Equity                      
Preferred stock, $0.01 par value, 100,000,000 shares authorized, 51,964,122 and 51,964,122 issued and outstanding, $1,299,104 and $1,299,104 aggregate liquidation preference, respectively 1,257,254,000 1,257,254,000 1,257,254,000 1,257,254,000 1,257,254,000 1,258,667,000   1,258,667,000 1,258,667,000    
Common stock, $0.01 par value, 2,000,000,000 shares authorized, 483,226,239 and 473,715,100 issued and outstanding, respectively 4,833,000 4,833,000 4,834,000 4,832,000 4,739,000 4,739,000   4,670,000 4,669,000    
Additional paid-in capital 6,074,322,000 6,070,970,000 6,068,613,000 6,062,051,000 6,062,019,000 6,060,671,000   6,060,740,000 6,059,981,000    
Retained earnings (accumulated deficit) (373,141,000) (164,010,000) (236,222,000) (470,562,000) (418,662,000) (381,843,000)   (387,870,000) (267,878,000)    
Accumulated other comprehensive income 43,674,000 39,009,000 39,954,000 40,631,000 37,651,000 48,337,000   57,620,000 67,195,000    
Total Rithm Capital stockholders’ equity 7,006,942,000 7,208,056,000 7,134,433,000 6,894,206,000 6,943,001,000 6,990,571,000   6,993,827,000 7,122,634,000    
Noncontrolling interests in equity of consolidated subsidiaries 94,096,000 59,907,000 60,251,000 60,337,000 67,067,000 71,055,000   69,171,000 62,078,000    
Total Equity 7,101,038,000 7,267,963,000 7,194,684,000 6,954,543,000 7,010,068,000 7,061,626,000   7,062,998,000 7,184,712,000    
Liabilities and Equity 39,717,084,000 36,791,065,000 35,999,288,000 33,898,625,000 34,586,508,000 37,282,191,000   36,450,189,000 39,699,432,000    
Reclassifications                      
Assets                      
Mortgage servicing rights and mortgage servicing rights financing receivables, at fair value 0 0 0 0 0 0   0 0    
Real estate and other securities (includes $9,337,159 and $7,952,889 at fair value, respectively) 0 0 0 0 0 0   0 0    
Residential mortgage loans, held-for-investment, at fair value 0 0 0 0 0 0   0 0    
Residential mortgage loans, held-for-sale 0 0 0 0 0 0   0 0    
Consumer loans held-for-investment, at fair value 0 0 0   0            
Single-family rental properties 0 0 0 0 0 0   0 0    
Mortgage loans receivable, at fair value (353,594,000) (348,061,000) (347,327,000) (349,498,000) (349,975,000) (349,911,000)   (352,867,000) (295,142,000)    
Residential mortgage loans subject to repurchase 0 0 0 0 0 0   0 0 $ 0  
Cash and cash equivalents 0 0 0 0 0 0   0 0    
Restricted cash   (12,859,000) (12,924,000) (11,154,000)   (8,333,000)   (4,771,000) (61,372,000)    
Servicer advances receivable 0 0 0 0 0 0   0 0    
Receivable for investments sold   0     0            
Reverse repurchase agreements 0                    
Other assets (327,448,000) 2,782,000 2,099,000 1,433,000 (235,000) (531,000)   (405,000) (57,000)    
Assets of consolidated CFEs                      
Investments, at fair value and other assets 706,627,000 358,138,000 358,152,000 359,219,000 359,578,000 358,775,000   358,043,000 356,571,000    
Total assets 0 0 0 0 0 0   0 0    
Liabilities                      
Secured financing agreements 0 0 0 0 0 0   0 0    
Aggregate principal amount (318,998,000) (307,228,000) (312,255,000) (311,413,000) (312,918,000) (311,917,000)   (317,414,000) (324,062,000)    
Residential mortgage loan repurchase liability 0 0 0 0 0 0   0 0    
Unsecured notes, net of issuance costs 0 0 0 0 0 0   0 0    
Due to affiliates       0         0    
Payable for investments purchased       0 0 0          
Treasury securities payable 0                    
Dividends payable 0 0 0 0 0   0 0    
Accrued expenses and other liabilities (includes $51,765 and $18,064 at fair value, respectively) (220,292,000) (318,000) (338,000) (359,000) (349,000) (427,000)   (309,000) (42,000)    
Liabilities of consolidated CFEs                      
Notes payable, at fair value and other liabilities 539,290,000 307,546,000 312,593,000 311,772,000 313,267,000 312,344,000   317,723,000 324,104,000    
Total liabilities 0 0 0 0 0 0   0 0    
Equity                      
Preferred stock, $0.01 par value, 100,000,000 shares authorized, 51,964,122 and 51,964,122 issued and outstanding, $1,299,104 and $1,299,104 aggregate liquidation preference, respectively 0 0 0 0 0 0   0 0    
Common stock, $0.01 par value, 2,000,000,000 shares authorized, 483,226,239 and 473,715,100 issued and outstanding, respectively 0 0 0 0 0 0   0 0    
Additional paid-in capital 0 0 0 0 0 0   0 0    
Retained earnings (accumulated deficit) 0 0 0 0 0 0   0 0    
Accumulated other comprehensive income 0 0 0 0 0 0   0 0    
Total Rithm Capital stockholders’ equity 0 0 0 0 0 0   0 0    
Noncontrolling interests in equity of consolidated subsidiaries 0 0 0 0 0 0   0 0    
Total Equity 0 0 0 0 0   0 0    
Liabilities and Equity 0 $ 0 $ 0 $ 0 0 $ 0   $ 0 $ 0    
Variable Interest Entity, Primary Beneficiary                      
Assets                      
Cash and cash equivalents 23,540,000       85,961,000            
Restricted cash 31,848,000       21,062,000            
Assets of consolidated CFEs                      
Investments, at fair value and other assets 3,714,037,000       2,781,842,000            
Total assets 5,566,258,000       4,701,124,000            
Liabilities                      
Secured financing agreements 996,845,000       51,325,000            
Accrued expenses and other liabilities (includes $51,765 and $18,064 at fair value, respectively) 20,132,000       44,802,000            
Liabilities of consolidated CFEs                      
Total liabilities 4,682,388,000       3,886,073,000            
Balance Sheet Parenthetical [Abstract]                      
Residential mortgage loans, held-for-sale, at fair value $ 1,112,097,000       $ 844,000,000            
[1] The Company's Consolidated Balance Sheets include assets and liabilities of consolidated variable interest entities (“VIEs”) and certain other consolidated VIEs classified as collateralized financing entities (“CFEs”) that are presented separately and measured under the CFE election. VIE assets can only be used to settle obligations and liabilities of the VIEs. VIE creditors do not have recourse to Rithm Capital Corp. As of December 31, 2023, as restated, and December 31, 2022, as restated, total assets of such consolidated VIEs were $5.6 billion and $4.7 billion, respectively, and total liabilities of such consolidated VIEs were $4.7 billion and $3.9 billion, respectively. See Note 22 for further details.