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Orchid Island Capital Announces August 2025 Monthly Dividend and July 31, 2025 RMBS Portfolio Characteristics

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Orchid Island Capital (NYSE: ORC) has declared a monthly cash dividend of $0.12 per share for August 2025, payable on September 29, 2025, to stockholders of record as of August 29, 2025. The company, operating as a REIT, must distribute at least 90% of its taxable income annually to maintain its REIT status.

The company's outstanding shares have increased from 126,566,926 as of June 30, 2025, to 133,172,673 as of August 13, 2025, indicating recent share issuance. The next dividend announcement is expected on September 8, 2025.

Orchid Island Capital (NYSE: ORC) ha dichiarato un dividendo in contanti mensile di $0,12 per azione relativo ad agosto 2025, pagabile il 29 settembre 2025 agli azionisti iscritti al 29 agosto 2025. La società, che opera come REIT, deve distribuire almeno il 90% del proprio reddito imponibile annuale per mantenere lo status di REIT.

Le azioni in circolazione sono aumentate da 126.566.926 al 30 giugno 2025 a 133.172.673 al 13 agosto 2025, indicando una recente emissione di azioni. Il prossimo annuncio sul dividendo è previsto per l'8 settembre 2025.

Orchid Island Capital (NYSE: ORC) declaró un dividendo en efectivo mensual de $0.12 por acción correspondiente a agosto de 2025, pagadero el 29 de septiembre de 2025 a los accionistas registrados al 29 de agosto de 2025. La compañía, que opera como REIT, debe distribuir al menos el 90% de su ingreso imponible anual para conservar su condición de REIT.

Las acciones en circulación aumentaron de 126.566.926 al 30 de junio de 2025 a 133.172.673 al 13 de agosto de 2025, lo que indica una emisión reciente de acciones. Se espera que el próximo anuncio del dividendo sea el 8 de septiembre de 2025.

Orchid Island Capital (NYSE: ORC)� 2025� 8월분� 대� 주당 $0.12 현금 배당� 선언했으�, 배당금은 2025� 9� 29일에 2025� 8� 29� 기준 주주에게 지급됩니다. 회사� REIT로서 지위를 유지하려� 연간 과세소득� 최소 90%� 분배해야 합니�.

유통 주식 수는 2025� 6� 30� 기준 126,566,926주에� 2025� 8� 13� 기준 133,172,673주로 증가하여 최근 주식 발행� 있었음을 시사합니�. 다음 배당 발표� 2025� 9� 8일로 예정되어 있습니다.

Orchid Island Capital (NYSE: ORC) a déclaré un dividende en numéraire mensuel de 0,12 $ par action pour août 2025, payable le 29 septembre 2025 aux actionnaires inscrits au 29 août 2025. La société, opérant en tant que REIT, doit distribuer au moins 90 % de son revenu imposable annuel pour conserver son statut de REIT.

Le nombre d'actions en circulation est passé de 126 566 926 au 30 juin 2025 à 133 172 673 au 13 août 2025, ce qui indique une émission récente d'actions. Le prochain communiqué sur le dividende est attendu le 8 septembre 2025.

Orchid Island Capital (NYSE: ORC) hat eine monatliche Bardividende von $0,12 je Aktie für August 2025 beschlossen, zahlbar am 29. September 2025 an die zum 29. August 2025 eingetragenen Aktionäre. Das Unternehmen, das als REIT tätig ist, muss jährlich mindestens 90 % seines steuerpflichtigen Einkommens ausschütten, um den REIT-Status zu behalten.

Die ausstehenden Aktien stiegen von 126.566.926 zum 30. Juni 2025 auf 133.172.673 zum 13. August 2025, was auf eine kürzliche Aktienausgabe hindeutet. Die nächste Dividendenmitteilung wird für den 8. September 2025 erwartet.

Positive
  • Monthly dividend of $0.12 per share maintained
  • Consistent dividend payment schedule demonstrates stability
  • Share count increased by 5.2% from June to August 2025, indicating successful capital raising
Negative
  • No minimum distribution payment level established
  • Company explicitly states no assurance of future distribution ability
  • Significant share count increase suggests potential dilution for existing shareholders
  • August 2025Monthly Dividend of $0.12Per Share of Common Stock
  • RMBS Portfolio Characteristics as ofJuly 31, 2025
  • Next Dividend Announcement ExpectedSeptember 8, 2025

VERO BEACH, Fla., Aug. 13, 2025 (GLOBE NEWSWIRE) -- Orchid Island Capital, Inc. (the “Company�) (NYSE: ORC) announced today that the Board of Directors of the Company declared a monthly cash dividend for the month of August 2025. The dividend of $0.12per share will be paid September 29, 2025to holders of record of the Company’s common stock on August 29, 2025, with an ex-dividend date ofAugust 29, 2025. The Company plans on announcing its next common stock dividend on September 8, 2025.

The Company intends to make regular monthly cash distributions to its holders of common stock. In order to qualify as a real estate investment trust (“REIT�), the Company must distribute annually to its stockholders an amount at least equal to 90% of its REIT taxable income, determined without regard to the deduction for dividends paid and excluding any net capital gain. The Company will be subject to income tax on taxable income that is not distributed and to an excise tax to the extent that a certain percentage of its taxable income is not distributed by specified dates. The Company has not established a minimum distribution payment level and is not assured of its ability to make distributions to stockholders in the future.

As of August 13, 2025, the Company had133,172,673shares of common stock outstanding. As ofJuly 31, 2025, the Company had130,595,848shares of common stock outstanding. As ofJune 30, 2025, the Company had126,566,926shares of common stock outstanding.

RMBS Portfolio Characteristics

Details of the RMBS portfolio as ofJuly 31, 2025are presented below.These figures are preliminary and subject to change.The information contained herein is an intra-quarter update created by the Company based upon information that the Company believes is accurate:

  • RMBS Valuation Characteristics
  • RMBS Assets by Agency
  • Investment Company Act of 1940 (Whole Pool) Test Results
  • Repurchase Agreement Exposure by Counterparty
  • RMBS Risk Measures

About Orchid Island Capital, Inc.

Orchid Island Capital, Inc. is a specialty finance company that invests on a leveraged basis in Agency RMBS. Our investment strategy focuses on, and our portfolio consists of, two categories of Agency RMBS: (i) traditional pass-through Agency RMBS, such as mortgage pass-through certificates and collateralized mortgage obligations issued by Fannie Mae, Freddie Mac or Ginnie Mae, and (ii) structured Agency RMBS. The Company is managed by Bimini Advisors, LLC, a registered investment adviser with the Securities and Exchange Commission.

Forward-Looking Statements

This press release contains forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995 and other federal securities laws. These forward-looking statements include, but are not limited to, statements about the Company’s distributions. These forward-looking statements are based upon Orchid Island Capital, Inc.’s present expectations, but these statements are not guaranteed to occur. Investors should not place undue reliance upon forward-looking statements. For further discussion of the factors that could affect outcomes, please refer to the “Risk Factors� section of the Company’s Annual Report on Form 10-K for the fiscal year ended December 31, 2024.

RMBS Valuation Characteristics
($ in thousands)
AG˹ٷized
AG˹ٷized
May-25 -
Jul-25
Jul-25
Net
WeightedCPR
CPR
Weighted
Average(1-Month)
(3-Month)
Modeled Interest
Current
Fair% of
CurrentAverage
Maturity(Reported
(Reported
Rate Sensitivity (1)
TypeFace
ValuePortfolio
PriceCoupon
GWAC
Age(Months)in Aug)
in Aug)
(-50 BPS)
(+50 BPS)
Fixed Rate RMBS
30yr 3.0$848,648$741,10710.08%87.333.00%3.48%532997.8%6.9%$21,788$(22,024)
30yr 3.5166,312151,2202.06%90.933.50%4.04%652829.4%8.3%4,127(4,170)
30yr 4.0158,877148,1392.02%93.244.00%4.70%513049.3%6.6%3,837(3,986)
30yr 4.5285,759272,9233.71%95.514.50%5.44%3731813.3%10.9%5,919(6,433)
30yr 5.0418,604410,0035.58%97.955.00%5.92%323227.6%9.9%8,643(9,528)
30yr 5.51,237,3911,243,47916.92%100.495.50%6.42%133428.5%7.3%23,348(27,107)
30yr 6.02,457,2812,513,08934.19%102.276.00%6.93%113449.2%8.7%31,899(40,450)
30yr 6.51,525,4381,585,71521.57%103.956.50%7.40%1334314.9%15.5%13,850(19,122)
30yr 7.0256,727270,4373.68%105.347.00%7.94%2133115.6%25.6%1,890(2,587)
30yr Total7,355,0377,336,11299.80%99.745.49%6.35%2133310.4%10.3%115,301(135,407)
Total Pass-Through RMBS7,355,0377,336,11299.80%99.745.49%6.35%2133310.4%10.3%115,301(135,407)
Structured RMBS
IO 20yr 4.06,0295040.01%8.374.00%4.57%1627211.9%12.7%2(2)
IO 30yr 3.02,4723000.00%12.123.00%3.64%12622426.8%10.4%-(1)
IO 30yr 4.067,10712,6220.17%18.814.00%4.59%1312207.0%6.7%(211)138
IO 30yr 4.52,9125330.01%18.294.50%4.99%1811668.9%8.3%(3)1
IO 30yr 5.01,5393220.00%20.925.00%5.37%18116615.5%8.3%(4)2
IO Total80,05914,2810.19%17.844.01%4.59%1362068.2%7.3%(216)138
IIO 30yr 4.019,6471850.00%0.940.00%4.40%942549.5%5.7%92(64)
Total Structured RMBS99,70614,4660.20%14.513.22%4.55%1282158.4%7.0%(124)74
Total Mortgage Assets$7,454,743$7,350,578100.00%5.46%6.33%2333210.3%10.3%$115,177$(135,333)


HedgeModeled Interest
Notional
PeriodRate Sensitivity (1)
HedgeBalance
End(-50 BPS)
(+50 BPS)
3-Month SOFR Futures$(115,000)Aug-26$(1,150)$1,150
5-Year Treasury Future(2)(562,500)Sep-25(11,695)11,433
10-Year Treasury Future(3)(228,500)Sep-25(7,455)7,243
10-Year Ultra Treasury Future(4)(197,500)Sep-25(8,658)8,292
5-Year ERIS SOFR Swap Futures(10,000)Sep-25(231)224
Swaps(3,843,300)Feb-31(96,488)93,225
TBA Short(340,000)Aug-25(2,505)3,747
Hedge Total$(5,296,800)$(128,182)$125,314
Rate Shock Grand Total$(13,005)$(10,019)


(1)Modeled results from Citigroup Global Markets Inc. Yield Book. Interest rate shocks assume instantaneous parallel shifts and horizon prices are calculated assuming constant SOFRoption-adjusted spreads. These results are for illustrative purposes only and actual results may differ materially.
(2)Five-year Treasury futures contracts were valued at prices of$108.17atJuly 31, 2025. The market value of the short position was$608.5 million.
(3)Ten-year Treasury futures contracts were valued at prices of$111.06atJuly 31, 2025. The market value of the short position was$253.8 million.
(4)Ten-year Ultra futures contracts were valued at prices of$113.08atJuly 31, 2025. The market value of the short position was$223.3 million.


RMBS Assets by Agency
($ in thousands)
Percentage
Fair
of
Asset CategoryValue
Portfolio
As of July 31, 2025
Fannie Mae$4,419,53960.1%
Freddie Mac2,931,03939.9%
Total Mortgage Assets$7,350,578100.0%


Investment Company Act of 1940 Whole Pool Test
($ in thousands)
Percentage
Fair
of
Asset CategoryValue
Portfolio
As of July 31, 2025
Non-Whole Pool Assets$417,4235.7%
Whole Pool Assets6,933,15594.3%
Total Mortgage Assets$7,350,578100.0%


Borrowings By Counterparty
($ in thousands)
Weighted
Weighted
% of
Average
Average
Total
Total
Repo
MaturityLongest
As of July 31, 2025Borrowings
Debt
Rate
in DaysMaturity
J.P. Morgan Securities LLC$343,7685.0%4.51%5910/23/2025
Mirae Asset Securities (USA) Inc.334,1104.9%4.42%7911/13/2025
ASL Capital Markets Inc.326,8664.8%4.48%449/18/2025
ABN AMRO Bank N.V.324,1464.8%4.47%519/22/2025
Marex Capital Markets Inc.307,5264.5%4.47%289/25/2025
Citigroup Global Markets Inc303,1774.5%4.49%8710/30/2025
Wells Fargo Bank, N.A.301,8944.4%4.49%148/14/2025
Goldman, Sachs & Co301,3224.4%4.48%288/29/2025
RBC Capital Markets, LLC300,3394.4%4.52%208/27/2025
DV Securities, LLC Repo293,6574.3%4.48%7110/28/2025
ING Financial Markets LLC292,4414.3%4.49%489/17/2025
Daiwa Securities America Inc.291,3524.3%4.50%479/23/2025
Bank of Montreal288,4634.2%4.50%3510/28/2025
South Street Securities, LLC280,2294.1%4.47%5810/14/2025
StoneX Financial Inc.280,0504.1%4.49%499/18/2025
Clear Street LLC278,4044.1%4.48%449/22/2025
Cantor Fitzgerald & Co277,4314.1%4.50%278/27/2025
Merrill Lynch, Pierce, Fenner & Smith260,3883.8%4.51%228/25/2025
MUFG Securities Canada, Ltd.254,8613.7%4.47%88/8/2025
Mitsubishi UFJ Securities (USA), Inc.247,1153.6%4.49%6110/14/2025
The Bank of Nova Scotia243,5023.6%4.49%5410/23/2025
Banco Santander SA187,0182.7%4.50%479/16/2025
Nomura Securities International, Inc.142,9422.1%4.47%259/8/2025
Mizuho Securities USA LLC136,2382.0%4.52%288/28/2025
Natixis, New York Branch104,7001.5%4.49%288/29/2025
Wells Fargo Securities, LLC73,8231.1%4.48%8910/28/2025
Lucid Prime Fund, LLC34,8620.5%4.50%148/14/2025
Total Borrowings$6,810,624100.0%4.49%4411/13/2025

Contact:

Orchid Island Capital, Inc.
Robert E. Cauley
3305 Flamingo Drive, Vero Beach, Florida 32963
Telephone: (772) 231-1400


FAQ

What is Orchid Island Capital's (ORC) dividend for August 2025?

Orchid Island Capital announced a monthly dividend of $0.12 per share, payable September 29, 2025, to shareholders of record as of August 29, 2025.

When is ORC's next dividend announcement expected?

Orchid Island Capital's next dividend announcement is expected on September 8, 2025.

How many shares of ORC stock were outstanding as of August 13, 2025?

Orchid Island Capital had 133,172,673 shares of common stock outstanding as of August 13, 2025.

What are the REIT distribution requirements for Orchid Island Capital?

As a REIT, Orchid Island Capital must distribute at least 90% of its REIT taxable income annually to stockholders, excluding net capital gains.

How has ORC's share count changed from June to August 2025?

ORC's outstanding shares increased from 126,566,926 on June 30 to 133,172,673 on August 13, 2025, representing a 5.2% increase.
Orchid Is Cap Inc

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ORC Stock Data

892.18M
126.50M
0.18%
30.11%
4.46%
REIT - Mortgage
AG˹ٷ Estate Investment Trusts
United States
VERO BEACH