Company: CIMO
Filing Date: 2025-08-06
Form Type: 10-Q
Source: 0001628280-25-038345
Chunk: 40

Company: CHIMERA INVESTMENT CORP
Filing Date: 2025-08-06
Form: 10-Q
Item: Item 2
Chunk 40
---
million of unencumbered assets available to us which can be pledged to access additional short-term financing or sold to raise additional cash, if necessary.

At June 30, 2025 and December 31, 2024, the remaining maturities and borrowing rates on our RMBS and loan secured financing agreements were as follows.

 June 30, 2025December 31, 2024 (dollars in thousands)Principal (1)Weighted Average Borrowing RatesRange of Borrowing RatesPrincipalWeighted Average Borrowing RatesRange of Borrowing RatesOvernight$— —N/A$— —N/A1 to 29 days2,334,912 4.68%4.47% - 7.18%642,358 5.61%4.66% - 7.52%30 to 59 days376,179 6.21%5.08% - 6.83%959,559 7.79%5.34% - 12.50%60 to 89 days296,139 5.35%4.72% - 6.54%318,750 5.58% 4.87% - 7.02%90 to 119 days286,563 7.26%5.50% - 7.47% 51,416 6.38%5.51% - 6.77%120 to 180 days133,902 5.86% 5.07% - 6.51%123,072 6.15%5.82% - 6.77%180 days to 1 year220,180 5.96% 5.62% - 6.57%409,760 6.79%5.80% - 7.49%1 to 2 years601,662 8.28% 7.75% - 8.57%— N/AN/A2 to 3 years321,856 5.00%5.00% - 6.14%337,245 5.02%5.02% - 5.02%Total$4,571,393 5.60%$2,842,160 6.48%

(1) The values for secured financing agreements in the table above is net of $1 million of deferred financing costs as of June 30, 2025.

Average