| Cash and cash equivalent s $ 59,566 $ 40,000 $ 63,931 $ 70,590 $ 63,425 Short -t erm invest ment s 319,984 239,856 — 99,994 — Loans, held for sale, at fair value 181,797 152,231 206,706 200,318 216,022 Loans eligible for repurchase from Ginnie Mae 137,986 117,229 105,244 101,408 95,158 Derivat ive inst rument s 5,785 4,351 4,187 4,131 4,725 Receivable from t hird part ies 7,220 111,221 106,562 6,756 6,756 Asset s of consolidat ed VIEs 691,096 631,765 597,277 944,894 861,662 Liabilitie s P romissory not e, net 7,378 7,046 6,773 6,494 6,107 Convert ible not e, net — — — 109,414 108,991 Guarant eed loan financing 390,555 361,916 332,812 313,388 293,045 Liabilit ies for loans eligible for repurchase from Ginnie Mae 137,986 117,229 105,244 101,408 95,158 Dividends payable 11,505 12,162 12,289 12,289 12,289 Total Liabilitie s $ 2,053,165 $ 1,977,662 $ 1,894,109 $ 1,948,090 $ 1,968,036 Common st ock 3 3 4 3 3 Deficit (201) (2,648) (4,030) (3,952) (3,385) Non-cont rolling int erest s 39,005 38,847 19,394 19,338 19,394 Total Liabilitie s an d S tock h olde rs ’ Equ ity $ 2,605,267 $ 2,527,522 $ 2,446,920 $ 2,503,143 $ 2,523,503 (1) Certain balances have been reclassified to match current period presentation19 (2) Excludes the equity component of our 2017 convertible note issuance. Adjus te d B ook Val ue pe r Share (2 ) $ 16.80 $ 16.73 $ 16.67 $ 16.68 $ 16.69 Total S tock h ol de rs ’ Equ i ty $ 552,102 $ 549,860 $ 552,811 $ 555,053 $ 555,467 T ot al Sut herland Asset Management Corporat ion equit y 513,097 511,013 533,417 535,715 536,073 Addit ional paid-in capit al 513,295 513,658 537,443 539,664 539,455 Stockhol de rs ’ Equi ty Account s payable and ot her accrued liabilit ies 70,207 63,130 53,768 54,579 74,636 Derivat ive inst rument s 643 619 931 358 282 Cont ingent considerat ion 14,487 8,841 8,939 9,037 10,016 Senior secured not e, net — 73,390 138,311 138,074 138,078 Securit ized debt obligat ions of consolidat ed VIEs, net 492,942 434,055 397,911 680,282 598,148 Secured borrowings 927,462 899,274 837,131 522,767 631,286 Total As s e ts $ 2,605,267 $ 2,527,522 $ 2,446,920 $ 2,503,143 $ 2,523,503 Ot her asset s 54,277 60,938 39,452 35,356 56,840 Servicing right s 83,854 84,997 86,751 89,372 94,038 Invest ment in unconsolidat ed joint vent ure — — — — 55,369 Mort gage backed securit ies, at fair value 32,391 31,365 43,877 41,371 39,922 Loans, net 1,011,121 1,033,797 1,175,370 892,896 1,017,920 Rest rict ed cash 20,190 19,772 17,563 16,057 11,666 Ass e ts BALANCE SHEET BY QUARTER (In Thous ands ) 12/31/2016 (1 ) 3/31/2017 (1 ) 6/30/2017 (1 ) 9/30/201712/31/2017 |