Annaly Capital Management, Inc.

Symbol

NLY-PF

Price

$25.9799

Market Cap

$12,509,879,768

Exchange

NYSE

Sector

Real Estate

Industry

REIT - Mortgage

Dividend Yield

10.08%

Ex-Dividend Date

03-03-2025

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

03.03.2025

$25.98

$0.59896

2.31%

03.03.2025

03.31.2025

12.02.2024

$25.81

$0.61614

2.39%

12.02.2024

12.31.2024

08.30.2024

$25.85

$0.66164

2.56%

09.02.2024

09.30.2024

06.03.2024

$25.83

$0.65978

2.55%

06.03.2024

06.28.2024

02.29.2024

$25.73

$0.66267

2.58%

03.01.2024

03.28.2024

11.30.2023

$25.47

$0.66529

2.61%

12.01.2023

12.29.2023

08.31.2023

$25.78

$0.65818

2.55%

09.01.2023

09.29.2023

05.31.2023

$25.07

$0.63451

2.53%

06.01.2023

06.30.2023

02.28.2023

$25.43

$0.60768

2.39%

03.01.2023

03.31.2023

11.30.2022

$24.64

$0.54169

2.20%

12.01.2022

12.30.2022

08.31.2022

$24.65

$0.43438

1.76%

09.01.2022

09.30.2022

05.31.2022

$24.62

$0.43438

1.76%

06.01.2022

06.30.2022

02.28.2022

$24.33

$0.43438

1.79%

03.01.2022

03.31.2022

11.30.2021

$25.79

$0.43438

1.68%

12.01.2021

12.31.2021

08.31.2021

$26.28

$0.43438

1.65%

09.01.2021

09.30.2021

05.28.2021

$25.74

$0.43438

1.69%

06.01.2021

06.30.2021

02.26.2021

$24.97

$0.43438

1.74%

03.01.2021

03.31.2021

11.30.2020

-

$0.43438

1.67%

12.01.2020

12.31.2020

08.31.2020

-

$0.43438

1.67%

09.01.2020

09.30.2020

05.29.2020

$22.19

$0.43438

1.96%

06.01.2020

06.30.2020

02.28.2020

-

$0.43438

1.67%

03.02.2020

03.31.2020

11.29.2019

-

$0.43438

1.67%

12.02.2019

12.31.2019

08.30.2019

-

$0.43438

1.67%

09.03.2019

09.30.2019

05.31.2019

-

$0.43438

1.67%

06.03.2019

06.28.2019

02.28.2019

-

$0.43438

1.67%

03.01.2019

03.29.2019

11.30.2018

-

$0.43438

1.67%

12.03.2018

12.31.2018

08.31.2018

-

$0.43438

1.67%

09.04.2018

09.28.2018

05.31.2018

-

$0.43438

1.67%

06.01.2018

06.29.2018

02.28.2018

-

$0.43438

1.67%

03.01.2018

03.29.2018

11.30.2017

-

$0.72396

2.79%

12.01.2017

12.29.2017