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BCS

Beneficial Ownership Report · SCHEDULE 13G/A

Redwood Trust, Inc.

Beneficial Ownership Report

Filed Oct 6, 2026Accepted Oct 6, 2026, 7:08 AM EDTFiling CIK 930236Accession 0000902219-26-000320
Share

Structured filing — SCHEDULE 13G/A

primary_doc.xml

Open full document ↗

Amendment · This filing reports the amendment as submitted.

Subject company

Company
Redwood Trust, Inc.
Company CIK
0000930236
Street
1 Belvedere Place
Street (continued)
Suite 300
City
Mill Valley
State / country code
X1
Postal code
94941

Statement details

Amendment number
8
Security class
Common Stock
Event date
09/30/2026
Rule designation
Rule 13d-1(b)

Reporting person 1

Name
Wellington Management Group LLP
Citizenship / organization
MA
Reporting person type
HC
Aggregate amount owned
21,343,055.00
Percent of class
17.0
Sole voting power
0
Shared voting power
20,907,896
Sole dispositive power
0
Shared dispositive power
21,343,055

Reporting person 2

Name
Wellington Group Holdings LLP
Citizenship / organization
DE
Reporting person type
HC
Aggregate amount owned
21,343,055.00
Percent of class
17.0
Sole voting power
0
Shared voting power
20,907,896
Sole dispositive power
0
Shared dispositive power
21,343,055

Reporting person 3

Name
Wellington Investment Advisors Holdings LLP
Citizenship / organization
DE
Reporting person type
HC
Aggregate amount owned
21,343,055.00
Percent of class
17.0
Sole voting power
0
Shared voting power
20,907,896
Sole dispositive power
0
Shared dispositive power
21,343,055

Reporting person 4

Name
Wellington Management Company LLP
Citizenship / organization
DE
Reporting person type
IA
Aggregate amount owned
21,343,055.00
Percent of class
16.9
Sole voting power
0
Shared voting power
20,907,896
Sole dispositive power
0
Shared dispositive power
21,206,163

Item 1

Issuer

Redwood Trust, Inc.

Principal executive office address

1 Belvedere Place, Suite 300, Mill Valley CA 94941

Item 2

Citizenship

Wellington Management Group LLP - Massachusetts Wellington Group Holdings LLP - Delaware Wellington Investment Advisors Holdings LLP - Delaware Wellington Management Company LLP - Delaware

Filing person

Wellington Management Group LLP Wellington Group Holdings LLP Wellington Investment Advisors Holdings LLP Wellington Management Company LLP

Principal business or residence address

c/o Wellington Management Company LLP, 280 Congress Street, Boston MA 02210

Item 3

Not applicable indication

N

Type of filing person

HC · IA

Item 4

Percent of class

16.99

Amount beneficially owned

See the responses to Item 9 on the attached cover pages.

Sole voting power

0

Shared voting power

See the responses to Item 6 on the attached cover pages.

Sole dispositive power

0

Shared dispositive power

See the responses to Item 8 on the attached cover pages.

Item 5

Not applicable indication

Y

Item 6

Not applicable indication

N

Ownership on behalf of another person

The securities as to which this Schedule is filed are owned of record by clients of one or more investment advisers identified in Item 7 directly or indirectly owned by Wellington Management Group LLP. Those clients have the right to receive, or the power to direct the receipt of, dividends from, or the proceeds from the sale of, such securities. No such client is known to have such right or power with respect to more than five percent of this class of securities, except as follows: Bay Pond Partners, L.P. Bay Pond Investors (Bermuda) L.P. Bay Pond Partners, L.P. Bay Pond Investors (Bermuda) L.P.

Item 7

Not applicable indication

N

Subsidiaries

Pursuant to the instructions in Item 7 of Schedule 13G, the following lists the identity and Item 3 classification of each relevant entity that beneficially owns shares of the security class being reported on this Schedule 13G. Wellington Group Holdings LLP - HC Wellington Investment Advisors LLP - HC Wellington Management Global Holdings, Ltd. - HC One or more of the following investment advisers (the "Wellington Investment Advisers"): Wellington Management Company LLP - IA Wellington Management Canada LLC - IA Wellington Management Singapore Pte Ltd - IA Wellington Management Hong Kong Ltd - IA Wellington Management International Ltd - IA Wellington Management Japan Pte Ltd - IA Wellington Management Australia Pty Ltd - IA The securities as to which this Schedule is filed by Wellington Management Group LLP, as parent holding company of certain holding companies and the Wellington Investment Advisers, are owned of record by clients of the Wellington Investment Advisers. Wellington Investment Advisors Holdings LLP controls directly, or indirectly through Wellington Management Global Holdings, Ltd., the Wellington Investment Advisers. Wellington Investment Advisors Holdings LLP is owned by Wellington Group Holdings LLP. Wellington Group Holdings LLP is owned by Wellington Management Group LLP.

Item 8

Not applicable indication

Y

Item 9

Not applicable indication

Y

Item 10

Not applicable indication

N

Certifications

By signing below I certify that, to the best of my knowledge and belief, the securities referred to above were acquired and are held in the ordinary course of business and were not acquired and are not held for the purpose of or with the effect of changing or influencing the control of the issuer of the securities and were not acquired and are not held in connection with or as a participant in any transaction having that purpose or effect, other than activities solely in connection with a nomination under § 240.14a-11.

Signature 1

Reporting person
Wellington Management Group LLP
Signed
Matthew Revell
Title
Compliance Manager
Date
10/07/2026

Signature 2

Reporting person
Wellington Group Holdings LLP
Signed
Matthew Revell
Title
Compliance Manager
Date
10/07/2026

Signature 3

Reporting person
Wellington Investment Advisors Holdings LLP
Signed
Matthew Revell
Title
Compliance Manager
Date
10/07/2026

Signature 4

Reporting person
Wellington Management Company LLP
Signed
Matthew Revell
Title
Compliance Manager
Date
10/07/2026

Filed exhibits

Company context

Redwood Trust, Inc. (NYSE: RWT) is a specialty finance company focused on several distinct areas of housing credit where we provide liquidity to growing segments of the U.S. housing market not well served by government programs. We deliver customized housing credit investments to a diverse mix of investors, through our best-in-class securitization platforms, whole-loan distribution activities, joint ventures and our publicly traded shares. We operate through three core residential housing-focused operating platforms - Sequoia, Aspire, and CoreVest - alongside our complementary Redwood Investments portfolio which is primarily composed of assets we source through these platforms. Redwood Investments also includes RWT Horizons®, our unified technology platform spanning internal AI innovation and strategic investments across the ecosystem, which supports our efforts to develop an AI-first operating model that enables compounding operational leverage and scalable growth. This reflects how we manage and organize our business and may differ from the manner in which our reportable segments are presented for financial reporting purposes. Our goal is to provide attractive returns to shareholders through a stable and growing stream of earnings and dividends, capital appreciation, and a commitment to technological innovation that facilitates risk-minded scale. Redwood Trust is internally managed and structured as a real estate investment trust for tax purposes.

Current securities

Recent company filings

  1. SCHEDULE 13D - filed by Amster Howard regarding REDWOOD TRUST INCSep 25, 2026
  2. 4 filingSep 21, 2026
  3. Entry into a Material Definitive Agreement · Creation of a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement · Unregistered Sales of Equity Securities · Other EventsSep 15, 2026
  4. Regulation FD Disclosure · Other EventsSep 10, 2026
  5. SCHEDULE 13G - filed by Bay Pond Investors (Bermuda) L.P. regarding REDWOOD TRUST INCAug 20, 2026

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