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    Orchid Island Capital Announces September 2024 Monthly Dividend and August 31, 2024 RMBS Portfolio Characteristics

    9/9/24 4:05:00 PM ET
    $ORC
    Real Estate Investment Trusts
    Real Estate
    Get the next $ORC alert in real time by email
    • September 2024 Monthly Dividend of $0.12 Per Share of Common Stock
    • RMBS Portfolio Characteristics as of August 31, 2024
    • Next Dividend Announcement Expected October 16, 2024

    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 September 2024. The dividend of $0.12 per share will be paid October 30, 2024 to holders of record of the Company's common stock on September 30, 2024, with an ex-dividend date of September 30, 2024. The Company plans on announcing its next common stock dividend on October 16, 2024.

    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 September 9, 2024, the Company had 73,997,050 shares of common stock outstanding. As of August 31, 2024, the Company had 73,947,050 shares of common stock outstanding. As of June 30, 2024, the Company had 64,824,374 shares of common stock outstanding.

    RMBS Portfolio Characteristics

    Details of the RMBS portfolio as of August 31, 2024 are 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, 2023.

    RMBS Valuation Characteristics

     

    ($ in thousands)

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Realized

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Realized

     

     

    Jun -24 -

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Aug-24

     

     

    Aug-24

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Net

     

     

     

     

     

     

     

     

     

     

    Weighted

     

     

    CPR

     

     

    CPR

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Weighted

     

     

     

     

     

     

     

     

     

     

    Average

     

     

    (1-Month)

     

     

    (3-Month)

     

     

    Modeled Interest

     

     

     

    Current

     

     

    Fair

     

     

    % of

     

     

    Current

     

     

    Average

     

     

     

     

     

     

     

     

     

     

    Maturity

     

     

    (Reported

     

     

    (Reported

     

     

    Rate Sensitivity (1)

     

    Type

     

    Face

     

     

    Value

     

     

    Portfolio

     

     

    Price

     

     

    Coupon

     

     

    GWAC

     

     

    Age

     

     

    (Months)

     

     

    in Sep)

     

     

    in Sep)

     

     

    (-50 BPS)

     

     

    (+50 BPS)

     

    Fixed Rate RMBS

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    15yr 5.0 TBA

     

    $

    50,000

     

     

    $

    50,371

     

     

     

    0.94

    %

     

     

    100.74

     

     

     

    5.00

    %

     

     

    5.80

    %

     

     

    14

     

     

     

    158

     

     

     

    n/a

     

     

     

    n/a

     

     

    $

    567

     

     

    $

    (660

    )

    15yr 6.0

     

     

    64,324

     

     

     

    66,483

     

     

     

    1.24

    %

     

     

    103.36

     

     

     

    6.00

    %

     

     

    6.83

    %

     

     

    9

     

     

     

    167

     

     

     

    n/a

     

     

     

    n/a

     

     

     

    619

     

     

     

    (715

    )

    15yr Total

     

     

    114,324

     

     

     

    116,854

     

     

     

    2.18

    %

     

     

    102.21

     

     

     

    5.56

    %

     

     

    6.38

    %

     

     

    11

     

     

     

    163

     

     

     

    n/a

     

     

     

    n/a

     

     

     

    1,186

     

     

     

    (1,375

    )

    30yr 3.0

     

    1,324,371

     

     

    1,190,283

     

     

     

    22.24

    %

     

     

    89.88

     

     

     

    3.00

    %

     

     

    3.46

    %

     

     

    41

     

     

     

    313

     

     

     

    7.1

    %

     

     

    6.6

    %

     

    36,235

     

     

    (36,948

    )

    30yr 3.5

     

     

    181,918

     

     

     

    170,266

     

     

     

    3.18

    %

     

     

    93.60

     

     

     

    3.50

    %

     

     

    4.04

    %

     

     

    54

     

     

     

    294

     

     

     

    8.7

    %

     

     

    9.5

    %

     

     

    4,633

     

     

     

    (4,710

    )

    30yr 4.0

     

     

    538,115

     

     

     

    512,716

     

     

     

    9.58

    %

     

     

    95.28

     

     

     

    4.00

    %

     

     

    4.78

    %

     

     

    31

     

     

     

    325

     

     

     

    5.3

    %

     

     

    5.9

    %

     

     

    11,870

     

     

     

    (12,790

    )

    30yr 4.5

     

     

    314,643

     

     

     

    307,763

     

     

     

    5.75

    %

     

     

    97.81

     

     

     

    4.50

    %

     

     

    5.44

    %

     

     

    26

     

     

     

    331

     

     

     

    7.3

    %

     

     

    10.4

    %

     

     

    5,571

     

     

     

    (6,283

    )

    30yr 5.0

     

     

    522,185

     

     

     

    520,141

     

     

     

    9.72

    %

     

     

    99.61

     

     

     

    5.00

    %

     

     

    5.93

    %

     

     

    24

     

     

     

    331

     

     

     

    8.7

    %

     

     

    9.9

    %

     

     

    8,560

     

     

     

    (10,002

    )

    30yr 5.5

     

     

    260,884

     

     

     

    265,358

     

     

     

    4.96

    %

     

     

    101.72

     

     

     

    5.50

    %

     

     

    6.43

    %

     

     

    17

     

     

     

    340

     

     

     

    6.5

    %

     

     

    5.6

    %

     

     

    3,777

     

     

     

    (4,673

    )

    30yr 6.0

     

     

    1,036,826

     

     

     

    1,064,828

     

     

     

    19.90

    %

     

     

    102.70

     

     

     

    6.00

    %

     

     

    6.98

    %

     

     

    9

     

     

     

    347

     

     

     

    8.5

    %

     

     

    8.0

    %

     

     

    11,040

     

     

     

    (14,436

    )

    30yr 6.5

     

     

    785,181

     

     

     

    813,423

     

     

     

    15.20

    %

     

     

    103.60

     

     

     

    6.50

    %

     

     

    7.43

    %

     

     

    8

     

     

     

    349

     

     

     

    11.3

    %

     

     

    10.4

    %

     

     

    5,954

     

     

     

    (7,777

    )

    30yr 7.0

     

     

    358,307

     

     

     

    374,435

     

     

     

    7.00

    %

     

     

    104.50

     

     

     

    7.00

    %

     

     

    7.95

    %

     

     

    10

     

     

     

    344

     

     

     

    31.4

    %

     

     

    19.7

    %

     

     

    2,444

     

     

     

    (3,024

    )

    30yr Total

     

     

    5,322,430

     

     

     

    5,219,213

     

     

     

    97.52

    %

     

     

    98.06

     

     

     

    4.90

    %

     

     

    5.69

    %

     

     

    23

     

     

     

    332

     

     

     

    9.7

    %

     

     

    8.8

    %

     

     

    90,084

     

     

     

    (100,643

    )

    Total Pass Through RMBS

     

     

    5,436,754

     

     

     

    5,336,067

     

     

     

    99.70

    %

     

     

    98.15

     

     

     

    4.91

    %

     

     

    5.71

    %

     

     

    23

     

     

     

    328

     

     

     

    9.7

    %

     

     

    8.8

    %

     

     

    91,270

     

     

     

    (102,018

    )

    Structured RMBS

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    IO 20yr 4.0

     

     

    7,576

     

     

     

    688

     

     

     

    0.01

    %

     

     

    9.08

     

     

     

    4.00

    %

     

     

    4.57

    %

     

     

    152

     

     

     

    82

     

     

     

    11.7

    %

     

     

    11.5

    %

     

     

    3

     

     

     

    (4

    )

    IO 30yr 3.0

     

     

    2,702

     

     

     

    325

     

     

     

    0.01

    %

     

     

    12.03

     

     

     

    3.00

    %

     

     

    3.64

    %

     

     

    115

     

     

     

    235

     

     

     

    1.5

    %

     

     

    1.1

    %

     

     

    (1

    )

     

     

    -

     

    IO 30yr 4.0

     

     

    74,480

     

     

     

    13,544

     

     

     

    0.25

    %

     

     

    18.19

     

     

     

    4.00

    %

     

     

    4.60

    %

     

     

    120

     

     

     

    231

     

     

     

    7.0

    %

     

     

    7.5

    %

     

     

    (388

    )

     

     

    275

     

    IO 30yr 4.5

     

     

    3,250

     

     

     

    605

     

     

     

    0.01

    %

     

     

    18.62

     

     

     

    4.50

    %

     

     

    4.99

    %

     

     

    170

     

     

     

    177

     

     

     

    7.1

    %

     

     

    6.0

    %

     

     

    (9

    )

     

     

    5

     

    IO 30yr 5.0

     

     

    1,755

     

     

     

    358

     

     

     

    0.01

    %

     

     

    20.38

     

     

     

    5.00

    %

     

     

    5.37

    %

     

     

    170

     

     

     

    178

     

     

     

    10.3

    %

     

     

    15.4

    %

     

     

    (9

    )

     

     

    6

     

    IO Total

     

     

    89,763

     

     

     

    15,520

     

     

     

    0.29

    %

     

     

    17.29

     

     

     

    4.01

    %

     

     

    4.60

    %

     

     

    125

     

     

     

    215

     

     

     

    7.3

    %

     

     

    7.7

    %

     

     

    (403

    )

     

     

    282

     

    IIO 30yr 4.0

     

     

    24,095

     

     

     

    325

     

     

     

    0.01

    %

     

     

    1.35

     

     

     

    0.00

    %

     

     

    4.40

    %

     

     

    83

     

     

     

    265

     

     

     

    10.6

    %

     

     

    8.0

    %

     

     

    105

     

     

     

    (87

    )

    Total Structured RMBS

     

     

    113,858

     

     

     

    15,845

     

     

     

    0.30

    %

     

     

    13.92

     

     

     

    3.16

    %

     

     

    4.55

    %

     

     

    116

     

     

     

    226

     

     

     

    8.0

    %

     

     

    7.8

    %

     

     

    (298

    )

     

     

    195

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Total Mortgage Assets

     

    $

    5,550,612

     

     

    $

    5,351,912

     

     

     

    100.00

    %

     

     

     

     

     

     

    4.87

    %

     

     

    5.68

    %

     

     

    25

     

     

     

    326

     

     

     

    9.6

    %

     

     

    8.7

    %

     

    $

    90,972

     

     

    $

    (101,823

    )

     

     

     

     

    Hedge

     

    Modeled Interest

     

     

     

    Notional

     

    Period

     

    Rate Sensitivity (1)

     

    Hedge

     

    Balance

     

    End

     

    (-50 BPS)

     

     

    (+50 BPS)

     

    3-Month SOFR Futures(2)

     

    $

    (455,900

    )

    Oct-25

     

    $

    (5,699

    )

     

    $

    5,699

     

    10-Year Treasury Future(3)

     

     

    (30,000

    )

    Dec-24

     

     

    (981

    )

     

     

    953

     

    Swaps

     

     

    (3,486,800

    )

    Jun-30

     

     

    (91,321

    )

     

     

    88,080

     

    TBA

     

     

    (300,000

    )

    Sep-24

     

     

    (8,524

    )

     

     

    8,875

     

    Swaptions

     

     

    (9,400

    )

    Sep-24

     

     

    -

     

     

     

    -

     

    Hedge Total

     

    $

    (4,282,100

    )

     

     

    $

    (106,525

    )

     

    $

    103,607

     

    Rate Shock Grand Total

     

     

     

     

     

     

    $

    (15,553

    )

     

    $

    1,784

     

    (1)

    Modeled results from Citigroup Global Markets Inc. Yield Book. Interest rate shocks assume instantaneous parallel shifts and horizon prices are calculated assuming constant SOFR option-adjusted spreads. These results are for illustrative purposes only and actual results may differ materially.

    (2)

    Amounts for SOFR futures contracts represents the average quarterly notional amount.

    (3)

    Ten-year Treasury futures contracts were valued at prices of $113.56 at August 31, 2024. The market value of the short position was $34.1 million.
    RMBS Assets by Agency

     

     

     

     

     

     

     

     

    ($ in thousands)

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Percentage

     

     

     

    Fair

     

     

    of

     

    Asset Category

     

    Value

     

     

    Portfolio

     

    As of August 31, 2024

     

     

     

     

     

     

     

     

    Fannie Mae

     

    $

    3,536,652

     

     

     

    66.7

    %

    Freddie Mac

     

     

    1,764,889

     

     

     

    33.3

    %

    Total Mortgage Assets

     

    $

    5,301,541

     

     

     

    100.0

    %

    Investment Company Act of 1940 Whole Pool Test

     

    ($ in thousands)

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Percentage

     

     

     

    Fair

     

     

    of

     

    Asset Category

     

    Value

     

     

    Portfolio

     

    As of August 31, 2024

     

     

     

     

     

     

     

     

    Non-Whole Pool Assets

     

    $

    135,189

     

     

     

    2.5

    %

    Whole Pool Assets

     

     

    5,166,352

     

     

     

    97.5

    %

    Total Mortgage Assets

     

    $

    5,301,541

     

     

     

    100.0

    %

    Borrowings By Counterparty

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    ($ in thousands)

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Weighted

     

     

    Weighted

     

     

     

     

     

     

     

     

    % of

     

     

    Average

     

     

    Average

     

     

     

     

    Total

     

     

    Total

     

     

    Repo

     

     

    Maturity

     

    Longest

    As of August 31, 2024

     

    Borrowings

     

     

    Debt

     

     

    Rate

     

     

    in Days

     

    Maturity

    ABN AMRO Bank N.V.

     

    $

    381,192

     

     

     

    7.7

    %

     

     

    5.37

    %

     

     

    45

     

    10/15/2024

    Merrill Lynch, Pierce, Fenner & Smith

     

     

    378,678

     

     

     

    7.7

    %

     

     

    5.42

    %

     

     

    47

     

    11/15/2024

    ASL Capital Markets Inc.

     

     

    345,938

     

     

     

    7.0

    %

     

     

    5.41

    %

     

     

    49

     

    11/15/2024

    DV Securities, LLC Repo

     

     

    274,167

     

     

     

    5.5

    %

     

     

    5.46

    %

     

     

    18

     

    9/27/2024

    Mitsubishi UFJ Securities (USA), Inc

     

     

    267,897

     

     

     

    5.4

    %

     

     

    5.43

    %

     

     

    40

     

    10/28/2024

    J.P. Morgan Securities LLC

     

     

    255,942

     

     

     

    5.2

    %

     

     

    5.49

    %

     

     

    9

     

    9/25/2024

    Banco Santander SA

     

     

    249,044

     

     

     

    5.0

    %

     

     

    5.33

    %

     

     

    79

     

    11/18/2024

    Citigroup Global Markets Inc

     

     

    247,802

     

     

     

    5.0

    %

     

     

    5.44

    %

     

     

    26

     

    9/26/2024

    Wells Fargo Bank, N.A.

     

     

    242,414

     

     

     

    4.9

    %

     

     

    5.48

    %

     

     

    13

     

    9/13/2024

    Cantor Fitzgerald & Co

     

     

    241,698

     

     

     

    4.9

    %

     

     

    5.49

    %

     

     

    12

     

    9/12/2024

    Marex Capital Markets Inc.

     

     

    223,955

     

     

     

    4.5

    %

     

     

    5.49

    %

     

     

    19

     

    9/19/2024

    Goldman, Sachs & Co

     

     

    208,828

     

     

     

    4.2

    %

     

     

    5.50

    %

     

     

    16

     

    9/16/2024

    Bank of Montreal

     

     

    207,521

     

     

     

    4.2

    %

     

     

    5.50

    %

     

     

    16

     

    9/16/2024

    ING Financial Markets LLC

     

     

    197,936

     

     

     

    4.0

    %

     

     

    5.50

    %

     

     

    19

     

    9/19/2024

    Daiwa Securities America Inc.

     

     

    197,391

     

     

     

    4.0

    %

     

     

    5.48

    %

     

     

    23

     

    9/23/2024

    Clear Street LLC

     

     

    193,286

     

     

     

    3.9

    %

     

     

    5.49

    %

     

     

    17

     

    9/20/2024

    Mirae Asset Securities (USA) Inc.

     

     

    190,665

     

     

     

    3.9

    %

     

     

    5.47

    %

     

     

    17

     

    9/18/2024

    StoneX Financial Inc.

     

     

    158,481

     

     

     

    3.2

    %

     

     

    5.48

    %

     

     

    19

     

    9/19/2024

    The Bank of Nova Scotia

     

     

    150,360

     

     

     

    3.0

    %

     

     

    5.50

    %

     

     

    17

     

    9/17/2024

    South Street Securities, LLC

     

     

    148,337

     

     

     

    3.0

    %

     

     

    5.48

    %

     

     

    19

     

    9/24/2024

    RBC Capital Markets, LLC

     

     

    143,316

     

     

     

    2.9

    %

     

     

    5.51

    %

     

     

    16

     

    9/16/2024

    Lucid Prime Fund, LLC

     

     

    23,749

     

     

     

    0.5

    %

     

     

    5.50

    %

     

     

    12

     

    9/12/2024

    Lucid Cash Fund USG LLC

     

     

    17,261

     

     

     

    0.3

    %

     

     

    5.50

    %

     

     

    12

     

    9/12/2024

    Total Borrowings

     

    $

    4,945,858

     

     

     

    100.0

    %

     

     

    5.45

    %

     

     

    28

     

    11/18/2024

     

    View source version on businesswire.com: https://www.businesswire.com/news/home/20240909279001/en/

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