Orchid Island Capital, Inc. — Form 8-K
Filed August 12, 2026 · analyzed by the 8-K Agent
8-K
— Neutral
significance 18/100
What the filing says
Orchid Island Capital declared an August 2026 monthly cash dividend of $0.10 per share, payable September 29, 2026 to shareholders of record August 31, 2026. As of July 31, 2026, the company held $11.26B in RMBS assets (52.2% Fannie Mae, 47.8% Freddie Mac), with total borrowings of $10.9B across 34 repo counterparties at a weighted average rate of 3.79%. Portfolio characteristics remained largely consistent month-over-month.
Why this rating
Routine monthly dividend announcement and portfolio disclosure for a REIT. No material changes in asset composition, borrowing costs, or leverage. Ordinary business communication.
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