0001437071-22-000015.txt : 20220504 0001437071-22-000015.hdr.sgml : 20220504 20220504162521 ACCESSION NUMBER: 0001437071-22-000015 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 16 CONFORMED PERIOD OF REPORT: 20220503 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Other Events ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20220504 DATE AS OF CHANGE: 20220504 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Invesco Mortgage Capital Inc. CENTRAL INDEX KEY: 0001437071 STANDARD INDUSTRIAL CLASSIFICATION: REAL ESTATE INVESTMENT TRUSTS [6798] IRS NUMBER: 262749336 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-34385 FILM NUMBER: 22891902 BUSINESS ADDRESS: STREET 1: TWO PEACHTREE POINTE STREET 2: 1555 PEACHTREE STREET, NE CITY: ATLANTA STATE: GA ZIP: 30309 BUSINESS PHONE: 404-892-0896 MAIL ADDRESS: STREET 1: TWO PEACHTREE POINTE STREET 2: 1555 PEACHTREE STREET, NE CITY: ATLANTA STATE: GA ZIP: 30309 FORMER COMPANY: FORMER CONFORMED NAME: Invesco Agency Securities Inc. DATE OF NAME CHANGE: 20080606 8-K 1 ivr-20220503.htm 8-K ivr-20220503
0001437071false00014370712022-05-032022-05-030001437071us-gaap:CommonStockMember2022-05-032022-05-030001437071ivr:SeriesBCumulativeRedeemablePreferredStockMember2022-05-032022-05-030001437071ivr:SeriesCCumulativeRedeemablePreferredStockMember2022-05-032022-05-03

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM 8-K
 
CURRENT REPORT
Pursuant to Section 13 OR 15(d) of The Securities Exchange Act of 1934
Date of Report (Date of earliest event reported): May 3, 2022
  ivr-20220503_g1.jpg
Invesco Mortgage Capital Inc.

(Exact name of registrant as specified in its charter)

Maryland001-3438526-2749336
(State or other jurisdiction
of incorporation)
(Commission File Number)(IRS Employer
Identification No.)
1555 Peachtree Street, NE,
Atlanta,Georgia30309
(Address of principal executive offices)(Zip Code)
Registrant’s telephone number, including area code: (404892-0896
n/a
(Former name or former address, if changed since last report.)
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below):  
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
Securities registered pursuant to Section 12(b) of the Act:
Title of Each ClassTrading SymbolName of Each Exchange on Which Registered
Common Stock, par value $0.01 per shareIVRNew York Stock Exchange
7.75% Fixed-to-Floating Series B Cumulative Redeemable Preferred Stock IVRpBNew York Stock Exchange
7.50% Fixed-to-Floating Series C Cumulative Redeemable Preferred Stock IVRpCNew York Stock Exchange
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.



Item 2.02
Results of Operations and Financial Condition.

On May 4, 2022, Invesco Mortgage Capital Inc. (the “registrant”) issued a press release announcing its financial results for the quarter ended March 31, 2022 (the “Release”).

The Release is attached to this Report as Exhibit 99.1 and the information contained in the Release is incorporated into this Item 2.02 by this reference. The information contained in this Item 2.02 is being “furnished” and shall not be deemed “filed” for the purposes of Section 18 of the Securities Exchange Act of 1934, as amended (“Exchange Act”), or otherwise subject to the liabilities of that section. The information in this Item 2.02 shall not be incorporated by reference into any registration statement or other document pursuant to the Securities Act of 1933, as amended, or into any filing or other document pursuant to the Exchange Act, except as otherwise expressly stated in such filing.


Item 8.01Other Events.

Share Repurchase Program

On May 3, 2022, the registrant’s Board of Directors approved a preferred stock repurchase program authorizing the registrant to repurchase up to three million shares of its 7.75% Fixed-to-Floating Series B Cumulative Redeemable Preferred Stock and up to five million shares of its 7.50% Fixed-to-Floating Series C Cumulative Redeemable Preferred Stock (the “Preferred Stock Repurchase Program”). Repurchases under the Preferred Stock Repurchase Program may be made at management’s discretion from time to time on the open market, in privately negotiated transactions or otherwise, in each case subject to compliance with all Securities and Exchange Commission rules and other legal requirements, and may be made in part under one or more Rule 10b5-1 plans, which permit stock repurchases at times when the Company might otherwise be precluded from doing so.

There is no guarantee as to the exact number of shares that will be repurchased under the Preferred Stock Repurchase Program, or that any repurchases will occur. In addition, the Preferred Stock Repurchase Program may be suspended, extended or terminated by the registrant at any time without prior notice.

Reverse Stock Split

On May 3, 2022, the registrant’s Board of Directors also approved a reverse stock split of the registrant’s common stock at a ratio of 1-for-10. The reverse stock split is expected to take effect following the close of business on June 3, 2022 (the "Effective Time").

Accordingly, at the Effective Time, every ten issued and outstanding shares of the registrant’s common stock will be converted into one share of the registrant’s common stock. The registrant’s common stock is expected to begin trading on the New York Stock Exchange on a post-split basis beginning on June 6, 2022 under a new CUSIP number: 46131B704.

No fractional shares will be issued in connection with the reverse stock split. Instead, each stockholder holding fractional shares will be entitled to receive, in lieu of such fractional shares, cash in an amount determined based on the closing price of the registrant’s common stock on the date of the Effective Time. The reverse stock split will apply to all of the registrant’s outstanding shares of common stock and will not affect any stockholder’s ownership percentage of shares of the registrant’s common stock, except for de minimis changes resulting from the payment of cash in lieu of fractional shares. Stockholders of record will be receiving information from Computershare Trust Company, N.A., the registrant’s transfer agent ("Computershare"), regarding their stock ownership following the reverse stock split and applicable payments of cash in lieu of fractional shares.

Stockholders with certificated shares of common stock will receive a letter of transmittal from Computershare with instructions on how to surrender certificates representing pre-split shares. Stockholders with book-entry shares or who hold their shares through a bank, broker or other nominee will not need to take any action. Stockholders of record will be receiving information from Computershare regarding their stock ownership following the reverse stock split and cash in lieu of fractional share payments, if applicable.





Item 9.01Financial Statements and Exhibits.
 
(d)Exhibits.
 
Exhibit No.
Description
99.1
104Cover Page Interactive Data File (embedded within the Inline XBRL document)







SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

 
Invesco Mortgage Capital Inc.

By: /s/ R. Lee Phegley, Jr.
R. Lee Phegley, Jr.
Chief Financial Officer


Date: May 4, 2022
 


EX-99.1 2 ivrq12022-8kxex991.htm EX-99.1 Document
Exhibit 99.1
ivrwordmarkmainimage08a.jpg
Press Release
For immediate release


Jack Bateman,
Investor Relations
404-439-3323

Invesco Mortgage Capital Inc. Reports First Quarter 2022 Financial Results
Atlanta - May 4, 2022 -- Invesco Mortgage Capital Inc. (NYSE: IVR) (the “Company”) today announced financial results for the quarter ended March 31, 2022.
Net loss per common share of $0.72 compared to $0.23 in Q4 2021
Earnings available for distribution per common share(1) of $0.12 compared to $0.10 in Q4 2021
Common stock dividend of $0.09 per common share, unchanged from Q4 2021
Book value per common share(2) of $2.08 compared to $2.91 at Q4 2021
Economic return(3) of (25.4%) compared to (7.7%) in Q4 2021

Update from John Anzalone, Chief Executive Officer

“During the first quarter of 2022, earnings available for distribution increased to $0.12 per common share. Slower prepayment speeds on specified pool collateral, attractive returns in the dollar roll market, and attractive yields on new investments were all supportive of earnings available for distribution.
“Our book value declined as a result of a historically challenging environment for Agency residential mortgage-backed securities (“Agency RMBS”). Expectations for the removal of monetary policy accommodation by the Federal Reserve accelerated further as the central bank seeks to combat the highest rate of inflation in decades. The resulting interest rate volatility and the anticipated supply and demand imbalance placed significant pressure on Agency RMBS valuations. Higher interest rates also caused premiums on specified pool collateral to fall, amplifying the book value decline.
“At quarter-end, substantially all of our $8.1 billion investment portfolio, including to-be-announced securities forward contracts (“TBAs”) at implied cost basis, was invested in Agency RMBS, and we continued to maintain a sizeable balance of unrestricted cash and unencumbered investments totaling $664.7 million.
“Increased expectations for accelerated interest rate hikes and balance sheet reduction by the Federal Reserve continue to weigh on Agency RMBS valuations as we enter the second quarter. Our outlook remains cautious in the near term; accordingly, we seek to maintain relatively low leverage. We expect the environment for Agency RMBS to improve later this year given the attractiveness of spreads relative to other fixed income sectors, slow prepayment rates, and the decline in net supply. Further, we continue to evaluate additional investment opportunities to complement our Agency RMBS strategy by expanding our target assets and portfolio diversification.”


(1) Earnings available for distribution (and by calculation, earnings available for distribution per common share) is a non-Generally Accepted Accounting Principles (“GAAP”) financial measure. Refer to the section entitled “Non-GAAP Financial Measures” for important disclosures and a reconciliation to the most comparable U.S. GAAP measure.
(2) Book value per common share is calculated as total stockholders' equity less the liquidation preference of the Company's Series B Preferred stock ($155.0 million) and Series C Preferred Stock ($287.5 million), divided by total common shares outstanding.
(3) Economic return for the quarter ended March 31, 2022 is defined as the change in book value per common share from December 31, 2021 to March 31, 2022 of ($0.83); plus dividends declared of $0.09 per common share; divided by the December 31, 2021 book value per common share of $2.91. Economic return for quarter ended December 31, 2021 is defined as the change in book value per common share from September 30, 2021 to December 31, 2021 of ($0.34); plus dividends declared of $0.09 per common share; divided by the September 30, 2021 book value per common share of $3.25.

1


Key performance indicators for the quarters ended March 31, 2022 and December 31, 2021 are summarized in the table below.
($ in millions, except share amounts)Q1 ‘22Q4 ‘21Variance
Average Balances(unaudited)(unaudited)
Average earning assets (at amortized cost)$7,005.2 $8,371.3 ($1,366.1)
Average borrowings$6,219.7 $7,441.5 ($1,221.8)
Average stockholders' equity (1)
$1,137.3 $1,306.4 ($169.1)
U.S. GAAP Financial Measures
Total interest income$42.2 $42.9 ($0.7)
Total interest expense($2.1)($3.2)$1.1 
Net interest income$44.3 $46.0 ($1.7)
Total expenses$7.3 $7.2 $0.1 
Net income (loss) attributable to common stockholders($236.8)($73.0)($163.8)
Average earning asset yields2.41 %2.05 %0.36 %
Average cost of funds(0.14 %)(0.17 %)0.03 %
Average net interest rate margin2.55 %2.22 %0.33 %
Period-end weighted average asset yields (2)
2.60 %2.16 %0.44 %
Period-end weighted average cost of funds0.37 %0.14 %0.23 %
Period-end weighted average net interest rate margin2.23 %2.02 %0.21 %
Book value per common share (3)
$2.08 $2.91 ($0.83)
Earnings (loss) per common share (basic)($0.72)($0.23)($0.49)
Earnings (loss) per common share (diluted)($0.72)($0.23)($0.49)
Debt-to-equity ratio5.2 x5.0 x0.2 x
Non-GAAP Financial Measures (4)
Earnings available for distribution$38.1 $33.2 $4.9 
Effective interest expense$1.8 $4.9 ($3.1)
Effective net interest income$40.4 $37.9 $2.5 
Effective cost of funds0.11 %0.26 %(0.15 %)
Effective interest rate margin2.30 %1.79 %0.51 %
Earnings available for distribution per common share$0.12 $0.10 $0.02 
Economic debt-to-equity ratio6.5 x6.2 x0.3x
(1) Average stockholders' equity is calculated based on the weighted month-end balance of total stockholders' equity excluding equity attributable to preferred stockholders.
(2) Period-end weighted average asset yields are based on amortized cost as of period end and incorporate future prepayment and loss assumptions.
(3) Book value per common share is calculated as total stockholders' equity less the liquidation preference of the Company's Series B Preferred Stock ($155.0 million) and Series C Preferred Stock ($287.5 million), divided by total common shares outstanding.
(4) Earnings available for distribution (and by calculation, earnings available for distribution per common share), effective interest expense (and by calculation, effective cost of funds), effective net interest income (and by calculation, effective interest rate margin), and economic debt-to-equity ratio are non-GAAP financial measures. Refer to the section entitled “Non-GAAP Financial Measures” for important disclosures and a reconciliation to the most comparable U.S. GAAP measures of net income (loss) attributable to common stockholders (and by calculation, basic earnings (loss) per common share), total interest income (and by calculation, average earning asset yields), total interest expense (and by calculation, cost of funds), net interest income (and by calculation, net interest rate margin) and debt-to-equity ratio.

2


Financial Summary
Net loss attributable to common stockholders for the first quarter of 2022 was $236.8 million compared to $73.0 million for the fourth quarter of 2021. The change in net loss attributable to common stockholders was primarily driven by a $504.4 million net loss on investments in the first quarter of 2022 compared to a $90.4 million net loss on investments in the fourth quarter of 2021 and a $238.9 million net gain on derivatives in the first quarter of 2022 compared to a $13.3 million net loss on derivatives in the fourth quarter of 2021. The Company earned $44.3 million of net interest income in the first quarter of 2022 compared to $46.0 million of net interest income in the fourth quarter of 2021.
Earnings available for distribution increased to $38.1 million for the first quarter of 2022 compared to $33.2 million for the fourth quarter of 2021 primarily due to a $2.9 million increase in TBA dollar roll income and a $2.5 million increase in effective net interest income.
Book value per common share for the first quarter of 2022 decreased 28.5% to $2.08 and is estimated to be between $1.77 and $1.83 as of April 30, 2022. The anticipation of an accelerated timeline for balance sheet reduction and the sharp pivot to tighter monetary policy by the Federal Reserve has pressured valuations lower in 2022. Premium valuations on the Company’s specified pool collateral have also deteriorated as higher rates reduced investor demand for prepayment protection. Furthermore, the Russian invasion of Ukraine has led to a reduction in demand for risk assets as volatility and uncertainty increased. The benchmark 10 year U.S. Treasury rate increased 83 basis points to 2.34% during the quarter, while the difference between the 30 year and 2 year U.S. Treasury rates decreased 106 basis points to 0.11% given expectations of rapid short-term interest rate hikes by the Federal Reserve.
The Company reduced the size of its investment portfolio, including TBAs, by 15% as of March 31, 2022 compared to December 31, 2021 given its expectation that the Federal Reserve's December 2021 announcement to accelerate the pace of tapering could result in an increase in market volatility and lower valuations on the Company's holdings. Total average earning assets were $7.0 billion in the first quarter of 2022, down from $8.4 billion in the fourth quarter of 2021. Total average borrowings were $6.2 billion in the first quarter of 2022, down from $7.4 billion in the fourth quarter of 2021.
Average net interest rate margin increased 33 basis points to 2.55% in the first quarter of 2022 compared to the fourth quarter of 2021 primarily due to higher average earning asset yields. Average earning asset yields increased 36 basis points to 2.41% in the first quarter of 2022 compared to the fourth quarter of 2021 primarily due to the Company's rotation into higher yielding Agency RMBS. The Company's Agency RMBS portfolio consisted primarily of 2.0% to 3.0% coupon 30 year fixed-rate securities as of March 31, 2022. Average cost of funds was (0.14%) for the first quarter of 2022 compared to (0.17%) for the fourth quarter of 2021.
The Company's debt-to-equity ratio was 5.2x as of March 31, 2022 compared to 5.0x as of December 31, 2021, and its economic debt-to-equity ratio was 6.5x as of March 31, 2022 compared to 6.2x as of December 31, 2021. Leverage ratios rose primarily due to the impact of lower Agency RMBS valuations on the Company's stockholders' equity.
Total expenses for the first quarter of 2022 were approximately $7.3 million compared to $7.2 million in the fourth quarter of 2021. The ratio of annualized total expenses to average stockholders' equity(1) increased to 2.57% in the first quarter of 2022 from 2.20% in the fourth quarter of 2021 primarily due to the Company's lower average stockholders' equity base.
As previously announced on March 28, 2022, the Company declared a common stock dividend of $0.09 per share paid on April 27, 2022 to its stockholders of record as of April 8, 2022. The Company declared the following dividends on May 3, 2022: a Series B Preferred Stock dividend of $0.4844 per share payable on June 27, 2022 to its stockholders of record as of June 5, 2022 and a Series C Preferred Stock dividend of $0.46875 per share payable on June 27, 2022 to its stockholders of record as of June 5, 2022.
On May 3, 2022, the Company's Board of Directors approved a repurchase plan for its preferred stock. Under the terms of the plan, the Company is authorized to repurchase up to three million shares of its Series B Preferred Stock and five million shares of its Series C Preferred Stock.
On May 3, 2022, the Company's Board of Directors approved a one-for-ten reverse stock split of the Company's common stock. The reverse stock split is expected to take effect following the close of business on June 3, 2022 at which time every ten issued and outstanding shares of the Company's common stock will be converted into one share of the Company's common stock. The Company's common stock is expected to begin trading on the New York Stock Exchange on a post-split basis beginning on June 6, 2022 under a new CUSIP number: 46131B704. Stockholders of record will be receiving information from Computershare Trust Company, N.A., the Company's transfer agent, regarding their stock ownership following the reverse stock split and cash in lieu of fractional share payments, if applicable.
(1) The ratio of annualized total expenses to average stockholders' equity is calculated as the annualized sum of management fees plus general and administrative expenses divided by average stockholders' equity.
3



About Invesco Mortgage Capital Inc.
Invesco Mortgage Capital Inc. is a real estate investment trust that primarily focuses on investing in, financing and managing mortgage-backed securities and other mortgage-related assets. Invesco Mortgage Capital Inc. is externally managed and advised by Invesco Advisers, Inc., a registered investment adviser and an indirect wholly-owned subsidiary of Invesco Ltd., a leading independent global investment management firm.

Earnings Call

Members of the investment community and the general public are invited to listen to the Company’s earnings conference call on Thursday, May 5, 2022, at 9:00 a.m. ET, by calling one of the following numbers:

North America Toll Free:    800-857-7465
International:        1-312-470-0052
Passcode:         Invesco

An audio replay will be available until 5:00 pm ET on May 19, 2022 by calling:

888-566-0058 (North America) or 1-203-369-3035 (International)

The presentation slides that will be reviewed during the call will be available on the Company’s website at www.invescomortgagecapital.com.

Cautionary Notice Regarding Forward-Looking Statements

This press release, the related presentation and comments made in the associated conference call, may include statements and information that constitute “forward-looking statements” within the meaning of the U.S. securities laws as defined in the Private Securities Litigation Reform Act of 1995, and such statements are intended to be covered by the safe harbor provided by the same. Forward-looking statements include our views on the risk positioning of our portfolio, domestic and global market conditions (including the residential and commercial real estate market), the ongoing spread and the economic and operational impact of the COVID-19 pandemic, the market for our target assets, our financial performance, including our earnings available for distribution, economic return, comprehensive income and changes in our book value, our intention and ability to pay dividends, our ability to continue performance trends, the stability of portfolio yields, interest rates, credit spreads, prepayment trends, financing sources, cost of funds, our leverage and equity allocation. In addition, words such as “believes,” “expects,” “anticipates,” “intends,” “plans,” “estimates,” “projects,” “forecasts,” and future or conditional verbs such as “will,” “may,” “could,” “should,” and “would” as well as any other statement that necessarily depends on future events, are intended to identify forward-looking statements.

Forward-looking statements are not guarantees, and they involve risks, uncertainties and assumptions. There can be no assurance that actual results will not differ materially from our expectations. We caution investors not to rely unduly on any forward-looking statements and urge you to carefully consider the risks identified under the captions “Risk Factors,” “Forward-Looking Statements” and “Management’s Discussion and Analysis of Financial Condition and Results of Operations” in our annual report on Form 10-K and quarterly reports on Form 10-Q, which are available on the Securities and Exchange Commission’s website at www.sec.gov.

All written or oral forward-looking statements that we make, or that are attributable to us, are expressly qualified by this cautionary notice. We expressly disclaim any obligation to update the information in any public disclosure if any forward-looking statement later turns out to be inaccurate.

Investor Relations Contact: Jack Bateman, 404-439-3323

4


INVESCO MORTGAGE CAPITAL INC. AND SUBSIDIARIES
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS
(Unaudited)
 Three Months Ended
$ in thousands, except share amountsMarch 31,
2022
December 31,
2021
March 31,
2021
Interest income
Mortgage-backed and other securities41,637 42,331 39,434 
Commercial loan537 525 576 
Total interest income42,174 42,856 40,010 
Interest expense
Repurchase agreements (1)
(2,104)(3,181)(1,660)
Total interest expense(2,104)(3,181)(1,660)
Net interest income44,278 46,037 41,670 
Other income (loss)
Gain (loss) on investments, net(504,388)(90,442)(331,857)
(Increase) decrease in provision for credit losses— — 938 
Equity in earnings (losses) of unconsolidated ventures71 289 (94)
Gain (loss) on derivative instruments, net238,860 (13,348)286,961 
Other investment income (loss), net55 — (16)
Total other income (loss)(265,402)(103,501)(44,068)
Expenses
Management fee – related party5,274 5,309 4,884 
General and administrative2,024 1,874 1,993 
Total expenses7,298 7,183 6,877 
Net income (loss)(228,422)(64,647)(9,275)
Dividends to preferred stockholders8,394 8,394 11,107 
Net income (loss) attributable to common stockholders(236,816)(73,041)(20,382)
Earnings (loss) per share:
Net income (loss) attributable to common stockholders
Basic(0.72)(0.23)(0.09)
Diluted(0.72)(0.23)(0.09)
(1)Negative interest expense on repurchase agreements is due to amortization of net deferred gains on de-designated interest rate swaps that exceeds current period interest expense on repurchase agreements. For further information on amortization of amounts classified in accumulated other comprehensive income before the Company discontinued hedge accounting, see Note 9 and Note 13 of the Company's condensed consolidated financial statements filed in Item 1 of the Company's Quarterly Report on Form 10-Q for the quarter ended March 31, 2022.


5


INVESCO MORTGAGE CAPITAL INC. AND SUBSIDIARIES
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (LOSS)
(Unaudited)

 
Three Months Ended
$ in thousandsMarch 31,
2022
December 31,
2021
March 31,
2021
Net income (loss)(228,422)(64,647)(9,275)
Other comprehensive income (loss):
Unrealized gain (loss) on mortgage-backed securities, net(2,421)(907)981 
Reclassification of amortization of net deferred (gain) loss on de-designated interest rate swaps to repurchase agreements interest expense(5,196)(5,602)(5,368)
Currency translation adjustments on investment in unconsolidated venture(200)(239)609 
Total other comprehensive income (loss)(7,817)(6,748)(3,778)
Comprehensive income (loss)(236,239)(71,395)(13,053)
Less: Dividends to preferred stockholders(8,394)(8,394)(11,107)
Comprehensive income (loss) attributable to common stockholders(244,633)(79,789)(24,160)



6


INVESCO MORTGAGE CAPITAL INC. AND SUBSIDIARIES
CONDENSED CONSOLIDATED BALANCE SHEETS
(Unaudited)
As of
$ in thousands, except share amountsMarch 31, 2022December 31, 2021
ASSETS
Mortgage-backed securities, at fair value (including pledged securities of $5,607,777 and $7,326,175, respectively)
5,992,494 7,804,259 
U.S. Treasury securities, at fair value (included pledged securities of $482,445 as of March 31, 2022)
482,445 — 
Cash and cash equivalents251,724 357,134 
Restricted cash245,809 219,918 
Due from counterparties47,793 7,985 
Investment related receivable15,214 16,766 
Derivative assets, at fair value17,674 270 
Other assets29,465 37,509 
Total assets7,082,618 8,443,841 
LIABILITIES AND STOCKHOLDERS' EQUITY
Liabilities:
Repurchase agreements5,837,420 6,987,834 
Derivative liabilities, at fair value77,613 14,356 
Dividends payable29,693 29,689 
Investment related payable— 
Accrued interest payable1,143 1,171 
Collateral held payable280 280 
Accounts payable and accrued expenses2,083 1,887 
Due to affiliate6,438 6,489 
Total liabilities5,954,671 7,041,706 
Commitments and contingencies (See Note 15) (1)
Stockholders' equity:
Preferred Stock, par value $0.01 per share; 50,000,000 shares authorized:
7.75% Fixed-to-Floating Series B Cumulative Redeemable Preferred Stock: 6,200,000 shares issued and outstanding ($155,000 aggregate liquidation preference)149,860 149,860 
7.50% Fixed-to-Floating Series C Cumulative Redeemable Preferred Stock: 11,500,000 shares issued and outstanding ($287,500 aggregate liquidation preference)278,108 278,108 
Common Stock, par value $0.01 per share; 450,000,000 shares authorized; 329,917,927 and 329,874,780 shares issued and outstanding, respectively
3,299 3,299 
Additional paid in capital3,816,544 3,816,406 
Accumulated other comprehensive income29,469 37,286 
Retained earnings (distributions in excess of earnings)(3,149,333)(2,882,824)
Total stockholders’ equity1,127,947 1,402,135 
Total liabilities and stockholders' equity7,082,618 8,443,841 
(1)See Note 15 of the Company's condensed consolidated financial statements filed in Item 1 of the Company's Quarterly Report on Form 10-Q for the quarter ended March 31, 2022.


7


Non-GAAP Financial Measures
The table below shows the non-GAAP financial measures the Company uses to analyze its operating results and the most directly comparable U.S. GAAP measures. The Company believes these non-GAAP measures are useful to investors in assessing its performance as discussed further below.
Non-GAAP Financial MeasureMost Directly Comparable U.S. GAAP Measure
Earnings available for distribution (and by calculation, earnings available for distribution per common share)Net income (loss) attributable to common stockholders (and by calculation, basic earnings (loss) per common share)
Effective interest expense (and by calculation, effective cost of funds)Total interest expense (and by calculation, cost of funds)
Effective net interest income (and by calculation, effective interest rate margin)Net interest income (and by calculation, net interest rate margin)
Economic debt-to-equity ratioDebt-to-equity ratio
The non-GAAP financial measures used by the Company's management should be analyzed in conjunction with U.S. GAAP financial measures and should not be considered substitutes for U.S. GAAP financial measures. In addition, the non-GAAP financial measures may not be comparable to similarly titled non-GAAP financial measures of its peer companies.

Earnings Available for Distribution
The Company's business objective is to provide attractive risk-adjusted returns to its stockholders, primarily through dividends and secondarily through capital appreciation. The Company uses earnings available for distribution as a measure of its investment portfolio’s ability to generate income for distribution to common stockholders and to evaluate its progress toward meeting this objective. The Company calculates earnings available for distribution as U.S. GAAP net income (loss) attributable to common stockholders adjusted for (gain) loss on investments, net; realized (gain) loss on derivative instruments, net; unrealized (gain) loss on derivative instruments, net; TBA dollar roll income; (gain) loss on foreign currency transactions, net and amortization of net deferred (gain) loss on de-designated interest rate swaps.
By excluding the gains and losses discussed above, the Company believes the presentation of earnings available for distribution provides a consistent measure of operating performance that investors can use to evaluate its results over multiple reporting periods and, to a certain extent, compare to its peer companies. However, because not all of the Company's peer companies use identical operating performance measures, the Company's presentation of earnings available for distribution may not be comparable to other similarly titled measures used by its peer companies. The Company excludes the impact of gains and losses when calculating earnings available for distribution because (i) when analyzed in conjunction with its U.S. GAAP results, earnings available for distribution provides additional detail of its investment portfolio’s earnings capacity and (ii) gains and losses are not accounted for consistently under U.S. GAAP. Under U.S. GAAP, certain gains and losses are reflected in net income whereas other gains and losses are reflected in other comprehensive income. For example, a portion of the Company's mortgage-backed securities are classified as available-for-sale securities, and changes in the valuation of these securities are recorded in other comprehensive income on its condensed consolidated balance sheets. The Company elected the fair value option for its mortgage-backed securities purchased on or after September 1, 2016, and changes in the valuation of these securities are recorded in other income (loss) in the condensed consolidated statements of operations. In addition, certain gains and losses represent one-time events. The Company may add and has added additional reconciling items to its earnings available for distribution calculation as appropriate.
To maintain qualification as a REIT, U.S. federal income tax law generally requires that the Company distributes at least 90% of its REIT taxable income annually, determined without regard to the deduction for dividends paid and excluding net capital gains. The Company has historically distributed at least 100% of its REIT taxable income. Because the Company views earnings available for distribution as a consistent measure of its investment portfolio's ability to generate income for distribution to common stockholders, earnings available for distribution is one metric, but not the exclusive metric, that the Company's board of directors uses to determine the amount, if any, and the payment date of dividends on common stock. However, earnings available for distribution should not be considered as an indication of the Company's taxable income, a guaranty of its ability to pay dividends or as a proxy for the amount of dividends it may pay, as earnings available for distribution excludes certain items that impact its cash needs.
8


Earnings available for distribution is an incomplete measure of the Company's financial performance and there are other factors that impact the achievement of the Company's business objective. The Company cautions that earnings available for distribution should not be considered as an alternative to net income (determined in accordance with U.S. GAAP), or as an indication of the Company's cash flow from operating activities (determined in accordance with U.S. GAAP), a measure of the Company's liquidity, or as an indication of amounts available to fund its cash needs.
The table below provides a reconciliation of U.S. GAAP net income (loss) attributable to common stockholders to earnings available for distribution for the following periods:
 Three Months Ended
$ in thousands, except per share dataMarch 31,
2022
December 31,
2021
March 31,
2021
Net income (loss) attributable to common stockholders(236,816)(73,041)(20,382)
Adjustments:
(Gain) loss on investments, net504,388 90,442 331,857 
Realized (gain) loss on derivative instruments, net (1)
(283,429)8,239 (282,250)
Unrealized (gain) loss on derivative instruments, net (1)
45,853 2,602 (9,260)
TBA dollar roll income (2)
13,401 10,517 10,545 
(Gain) loss on foreign currency transactions, net (3)
(55)— 16 
Amortization of net deferred (gain) loss on de-designated interest rate swaps (4)
(5,196)(5,602)(5,368)
Subtotal274,962 106,198 45,540 
Earnings available for distribution38,146 33,157 25,158 
Basic income (loss) per common share(0.72)(0.23)(0.09)
Earnings available for distribution per common share (5)
0.12 0.10 0.11 

(1)    U.S. GAAP gain (loss) on derivative instruments, net on the condensed consolidated statements of operations includes the following components:
 Three Months Ended
$ in thousandsMarch 31,
2022
December 31,
2021
March 31,
2021
Realized gain (loss) on derivative instruments, net283,429 (8,239)282,250 
Unrealized gain (loss) on derivative instruments, net(45,853)(2,602)9,260 
Contractual net interest income (expense) on interest rate swaps1,284 (2,507)(4,549)
Gain (loss) on derivative instruments, net238,860 (13,348)286,961 

(2)    A TBA dollar roll is a series of derivative transactions where TBAs with the same specified issuer, term and coupon but different settlement dates are simultaneously bought and sold. The TBA settling in the later month typically prices at a discount to the TBA settling in the earlier month. TBA dollar roll income represents the price differential between the TBA price for current month settlement versus the TBA price for forward month settlement. The Company includes TBA dollar roll income in earnings available for distribution because it is the economic equivalent of interest income on the underlying Agency securities, less an implied financing cost, over the forward settlement period. TBA dollar roll income is a component of gain (loss) on derivative instruments, net on the Company's condensed consolidated statements of operations.

(3)     Gain (loss) on foreign currency transactions, net is included in other investment income (loss), net on the condensed consolidated statements of operations.

9


(4)    U.S. GAAP repurchase agreements interest expense on the condensed consolidated statements of operations includes the following components:
 Three Months Ended
$ in thousandsMarch 31,
2022
December 31,
2021
March 31,
2021
Interest expense on repurchase agreement borrowings3,092 2,421 3,708 
Amortization of net deferred (gain) loss on de-designated interest rate swaps(5,196)(5,602)(5,368)
Repurchase agreements interest expense(2,104)(3,181)(1,660)

(5)    Earnings available for distribution per common share is equal to earnings available for distribution divided by the basic weighted average number of common shares outstanding.
The table below presents the components of earnings available for distribution:
Three Months Ended
$ in thousandsMarch 31,
2022
December 31,
2021
March 31,
2021
Effective net interest income (1)
40,366 37,928 31,753 
TBA dollar roll income13,401 10,517 10,545 
Equity in earnings (losses) of unconsolidated ventures71 289 (94)
(Increase) decrease in provision for credit losses— — 938 
Total expenses(7,298)(7,183)(6,877)
Subtotal46,540 41,551 36,265 
Dividends to preferred stockholders(8,394)(8,394)(11,107)
Earnings available for distribution38,146 33,157 25,158 
(1)See below for a reconciliation of net interest income to effective net interest income, a non-GAAP measure.


10


Effective Interest Expense/Effective Cost of Funds/Effective Net Interest Income/Effective Interest Rate Margin
The Company calculates effective interest expense (and by calculation, effective cost of funds) as U.S. GAAP total interest expense adjusted for contractual net interest income (expense) on its interest rate swaps that is recorded as gain (loss) on derivative instruments, net and the amortization of net deferred gains (losses) on de-designated interest rate swaps that is recorded as repurchase agreements interest expense. The Company views its interest rate swaps as an economic hedge against increases in future market interest rates on its floating rate borrowings. The Company adds back the net payments it makes on its interest rate swap agreements to its total U.S. GAAP interest expense because the Company uses interest rate swaps to add stability to interest expense. The Company excludes the amortization of net deferred gains (losses) on de-designated interest rate swaps from its calculation of effective interest expense because the Company does not consider the amortization a current component of its borrowing costs.
The Company calculates effective net interest income (and by calculation, effective interest rate margin) as U.S. GAAP net interest income adjusted for contractual net interest income (expense) on its interest rate swaps that is recorded as gain (loss) on derivative instruments, net and amortization of net deferred gains (losses) on de-designated interest rate swaps that is recorded as repurchase agreements interest expense.
The Company believes the presentation of effective interest expense, effective cost of funds, effective net interest income and effective interest rate margin measures, when considered together with U.S. GAAP financial measures, provides information that is useful to investors in understanding the Company's borrowing costs and operating performance.
The following table reconciles total interest expense to effective interest expense and cost of funds to effective cost of funds for the following periods:
Three Months Ended
 March 31, 2022December 31, 2021March 31, 2021
$ in thousandsReconciliationCost of Funds / Effective Cost of FundsReconciliationCost of Funds / Effective Cost of FundsReconciliationCost of Funds / Effective Cost of Funds
Total interest expense(2,104)(0.14 %)(3,181)(0.17 %)(1,660)(0.08 %)
Add: Amortization of net deferred gain (loss) on de-designated interest rate swaps
5,196 0.33 %5,602 0.30 %5,368 0.26 %
Add (less): Contractual net interest expense (income) on interest rate swaps recorded as gain (loss) on derivative instruments, net(1,284)(0.08 %)2,507 0.13 %4,549 0.22 %
Effective interest expense
1,808 0.11 %4,928 0.26 %8,257 0.40 %

The following table reconciles net interest income to effective net interest income and net interest rate margin to effective interest rate margin for the following periods:
Three Months Ended
 March 31, 2022December 31, 2021March 31, 2021
$ in thousandsReconciliationNet Interest Rate Margin / Effective Interest Rate MarginReconciliationNet Interest Rate Margin / Effective Interest Rate MarginReconciliationNet Interest Rate Margin / Effective Interest Rate Margin
Net interest income44,278 2.55 %46,037 2.22 %41,670 1.80 %
Less: Amortization of net deferred (gain) loss on de-designated interest rate swaps(5,196)(0.33 %)(5,602)(0.30 %)(5,368)(0.26 %)
Add (less): Contractual net interest income (expense) on interest rate swaps recorded as gain (loss) on derivative instruments, net1,284 0.08 %(2,507)(0.13 %)(4,549)(0.22 %)
Effective net interest income
40,366 2.30 %37,928 1.79 %31,753 1.32 %
11


Economic Debt-to-Equity Ratio
The following tables show the allocation of the Company's stockholders' equity to its target assets, the Company's debt-to-equity ratio, and the Company's economic debt-to-equity ratio as of March 31, 2022 and December 31, 2021. The Company's debt-to-equity ratio is calculated in accordance with U.S. GAAP and is the ratio of total debt to total stockholders' equity.
The Company presents an economic debt-to-equity ratio, a non-GAAP financial measure of leverage that considers the impact of the off-balance sheet financing of its investments in TBAs that are accounted for as derivative instruments under U.S. GAAP. The Company includes its TBAs at implied cost basis in its measure of leverage because a forward contract to acquire Agency RMBS in the TBA market carries similar risks to Agency RMBS purchased in the cash market and funded with on-balance sheet liabilities. Similarly, a contract for the forward sale of Agency RMBS has substantially the same effect as selling the underlying Agency RMBS and reducing the Company's on-balance sheet funding commitments. The Company believes that presenting its economic debt-to-equity ratio, when considered together with its U.S. GAAP financial measure of debt-to-equity ratio, provides information that is useful to investors in understanding how management evaluates at-risk leverage and gives investors a comparable statistic to those other mortgage REITs who also invest in TBAs and present a similar non-GAAP measure of leverage.
March 31, 2022
$ in thousandsAgency RMBS
Credit Portfolio (1)
Total
Mortgage-backed securities5,922,797 69,697 5,992,494 
U.S. Treasury securities482,445 — 482,445 
Cash and cash equivalents (2)
251,724 — 251,724 
Restricted cash (3)
245,809 — 245,809 
Derivative assets, at fair value (3)
17,437 237 17,674 
Other assets63,693 28,779 92,472 
Total assets6,983,905 98,713 7,082,618 
Repurchase agreements5,837,420 — 5,837,420 
Derivative liabilities, at fair value (3)
77,606 77,613 
Other liabilities26,421 13,217 39,638 
Total liabilities5,941,447 13,224 5,954,671 
Total stockholders' equity (allocated)1,042,458 85,489 1,127,947 
Debt-to-equity ratio (4)
5.6 — 5.2 
Economic debt-to-equity ratio (5)
7.1 — 6.5 
(1)Investments in non-Agency CMBS, non-Agency RMBS, a commercial loan and unconsolidated joint ventures are included in credit portfolio.
(2)Cash and cash equivalents is allocated based on the Company's financing strategy for each asset class.
(3)Restricted cash and derivative assets and liabilities are allocated based on the hedging strategy for each asset class.
(4)Debt-to-equity ratio is calculated as the ratio of total repurchase agreements to total stockholders' equity.
(5)Economic debt-to-equity ratio is calculated as the ratio of total repurchase agreements and TBAs at implied cost basis ($1.5 billion as of March 31, 2022) to total stockholders' equity.









12




December 31, 2021
$ in thousandsAgency RMBS
Credit Portfolio (1)
Total
Mortgage-backed securities7,732,281 71,978 7,804,259 
Cash and cash equivalents (2)
357,134 — 357,134 
Restricted cash (3)
219,918 — 219,918 
Derivative assets, at fair value (3)
— 270 270 
Other assets25,728 36,532 62,260 
Total assets8,335,061 108,780 8,443,841 
Repurchase agreements
6,987,834 — 6,987,834 
Derivative liabilities, at fair value (3)
14,356 — 14,356 
Other liabilities35,596 3,920 39,516 
Total liabilities7,037,786 3,920 7,041,706 
Total stockholders' equity (allocated)1,297,275 104,860 1,402,135 
Debt-to-equity ratio (4)
5.4 — 5.0 
Economic debt-to-equity ratio (5)
6.6 — 6.2 
(1)Investments in non-Agency CMBS, non-Agency RMBS, a commercial loan and unconsolidated joint ventures are included in credit portfolio.
(2)Cash and cash equivalents is allocated based on the Company's financing strategy for each asset class.
(3)Restricted cash and derivative assets and liabilities are allocated based on the hedging strategy for each asset class.
(4)Debt-to-equity ratio is calculated as the ratio of total repurchase agreements to total stockholders' equity.
(5)Economic debt-to-equity ratio is calculated as the ratio of total repurchase agreements and TBAs at implied cost basis ($1.6 billion as of December 31, 2021) to total stockholders' equity.


Average Balances
The table below presents information related to the Company's average earning assets, average earning assets yields, average borrowings and average cost of funds for the following periods:
Three Months Ended
$ in thousandsMarch 31,
2022
December 31,
2021
March 31,
2021
Average earning assets (1)
7,005,2188,371,2809,330,134
Average earning asset yields (2)
2.41 %2.05 %1.72 %
Average borrowings (3)
6,219,6947,441,4618,347,354
Average cost of funds (4)
(0.14 %)(0.17 %)(0.08 %)
(1)Average balances for each period are based on weighted month-end balances.
(2)Average earning asset yields for each period are calculated by dividing interest income, including amortization of premiums and discounts, by average earning assets based on the amortized cost of the investments. All yields are annualized.
(3)Average borrowings for each period are based on weighted month-end balances.
(4)Average cost of funds is calculated by dividing annualized interest expense, including amortization of net deferred gain (loss) on de-designated interest rate swaps, by average borrowings.
13
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Cover
May 03, 2022
Entity Information [Line Items]  
Document Type 8-K
Document Period End Date May 03, 2022
Entity Registrant Name Invesco Mortgage Capital Inc.
Entity Incorporation, State or Country Code MD
Entity File Number 001-34385
Entity Tax Identification Number 26-2749336
Entity Address, Address Line One 1555 Peachtree Street, NE,
Entity Address, City or Town Atlanta,
Entity Address, State or Province GA
Entity Address, Postal Zip Code 30309
City Area Code 404
Local Phone Number 892-0896
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Entity Emerging Growth Company false
Entity Central Index Key 0001437071
Amendment Flag false
Common Stock, par value $0.01 per share  
Entity Information [Line Items]  
Title of 12(b) Security Common Stock, par value $0.01 per share
Trading Symbol IVR
Security Exchange Name NYSE
7.75% Fixed-to-Floating Series B Cumulative Redeemable Preferred Stock  
Entity Information [Line Items]  
Title of 12(b) Security 7.75% Fixed-to-Floating Series B Cumulative Redeemable Preferred Stock
Trading Symbol IVRpB
Security Exchange Name NYSE
7.50% Fixed-to-Floating Series C Cumulative Redeemable Preferred Stock  
Entity Information [Line Items]  
Title of 12(b) Security 7.50% Fixed-to-Floating Series C Cumulative Redeemable Preferred Stock
Trading Symbol IVRpC
Security Exchange Name NYSE

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