OAKS Dividend 2017 of $0.05 announced – Five Oaks Investment Corp. Stock Dividend

OAKS Dividend Information for Five Oaks Investment Corp. (NYSE:OAKS)

  • Five Oaks Investment Corp. (NYSE/OAKS) declared a $0.05 per share monthly dividend.
  • The Five Oaks Investment Corp. Dividend Yield is 11.28%.
  • The dividend is payable on 8/30/2017 for shareholders of 8/15/2017.
  • The OAKS ex dividend date is 8/11/2017.
  • OAKS Next Dividend: 8/30/2017
  • OAKS Annual Dividend: $0.60
  • OAKS Dividend Yield: 11.28%
  • OAKS Dividend Growth: -18.00% (3 Year Average)
  • OAKS Based on Trailing 12 Months of Earnings: 120.00% (Trailing 12 Months of Earnings)
  • 82.19% (Based on This Year’s Estimates)

    125.00% (Based on Next Year’s Estimates)

OAKS Dividend History for Five Oaks Investment Corp.

Announced Period Amount Yield Ex-Dividend Date Record Date Payable Date
6/14/2017 monthly $0.05 11.28% 8/11/2017 8/15/2017 8/30/2017
6/14/2017 monthly $0.05 11.28% 9/14/2017 9/15/2017 9/28/2017
6/14/2017 monthly $0.05 11.28% 7/13/2017 7/17/2017 7/28/2017
3/16/2017 monthly $0.05 12.12% 4/12/2017 4/17/2017 4/27/2017
3/16/2017 monthly $0.05 12.12% 6/13/2017 6/15/2017 6/29/2017
3/16/2017 monthly $0.05 12.12% 5/11/2017 5/15/2017 5/30/2017
12/28/2016 monthly $0.05 12.17% 2/13/2017 2/15/2017 2/27/2017
12/28/2016 monthly $0.05 12.17% 3/13/2017 3/15/2017 3/30/2017
12/28/2016 monthly $0.05 12.17% 1/12/2017 1/17/2017 1/30/2017
11/11/2016 special $1.33 13.48% 11/17/2016 11/21/2016 12/26/2016
9/19/2016 monthly $0.06 12.79% 10/13/2016 10/17/2016 10/28/2016
9/19/2016 monthly $0.06 12.79% 11/10/2016 11/15/2016 11/29/2016
9/19/2016 monthly $0.06 12.79% 12/13/2016 12/15/2016 12/29/2016
6/16/2016 monthly $0.06 13.43% 8/11/2016 8/15/2016 8/30/2016
6/16/2016 monthly $0.06 13.43% 7/13/2016 7/15/2016 7/28/2016
6/16/2016 monthly $0.06 13.43% 9/13/2016 9/15/2016 9/29/2016
3/17/2016 monthly $0.06 13.79% 5/12/2016 5/16/2016 5/27/2016
3/17/2016 monthly $0.06 13.79% 4/13/2016 4/15/2016 4/28/2016
3/17/2016 monthly $0.06 13.79% 6/13/2016 6/15/2016 6/29/2016
12/17/2015 monthly $0.06 13.95% 3/11/2016 3/15/2016 3/30/2016
12/17/2015 monthly $0.06 13.95% 2/11/2016 2/16/2016 2/26/2016
12/17/2015 monthly $0.06 13.95% 1/13/2016 1/15/2016 1/28/2016
9/16/2015 monthly $0.10 18.9% 11/12/2015 11/16/2015 11/27/2015
9/16/2015 monthly $0.10 18.9% 12/11/2015 12/15/2015 12/30/2015
9/16/2015 monthly $0.10 18.9% 10/13/2015 10/15/2015 10/29/2015
6/16/2015 monthly $0.10 13.54% 9/11/2015 9/15/2015 9/29/2015
6/16/2015 monthly $0.10 13.54% 8/12/2015 8/14/2015 8/28/2015
6/16/2015 monthly $0.10 13.54% 7/13/2015 7/15/2015 7/30/2015
3/18/2015 monthly $0.13 14.12% 4/13/2015 4/15/2015 4/29/2015
3/18/2015 monthly $0.13 14.12% 5/13/2015 5/15/2015 5/28/2015
3/18/2015 monthly $0.13 14.12% 6/11/2015 6/15/2015 6/29/2015
12/17/2014 monthly $0.13 13.9% 1/13/2015 1/15/2015 1/29/2015
12/17/2014 monthly $0.13 13.9% 2/12/2015 2/17/2015 2/26/2015
12/17/2014 monthly $0.13 13.9% 3/12/2015 3/16/2015 3/30/2015
9/16/2014 monthly $0.13 13.85% 12/11/2014 12/15/2014 12/30/2014
9/16/2014 monthly $0.13 13.85% 11/12/2014 11/14/2014 11/26/2014
9/15/2014 oct 14 $0.13 13.85% 10/10/2014 10/15/2014 10/30/2014
6/18/2014 monthly $0.13 12.62% 8/13/2014 8/15/2014 8/28/2014
6/18/2014 monthly $0.13 12.62% 9/11/2014 9/15/2014 9/29/2014
6/17/2014 jul 14 $0.13 12.62% 7/11/2014 7/15/2014 7/30/2014
3/26/2014 monthly $0.13 13.66% 5/13/2014 5/15/2014 5/29/2014
3/26/2014 monthly $0.13 13.66% 6/12/2014 6/16/2014 6/27/2014
3/25/2014 apr 14 $0.13 13.66% 4/11/2014 4/15/2014 4/29/2014
1/2/2014 monthly $0.13 13.95% 1/13/2014 1/15/2014 1/30/2014
1/2/2014 monthly $0.13 13.95% 2/12/2014 2/14/2014 2/27/2014
1/2/2014 monthly $0.13 13.95% 3/13/2014 3/17/2014 3/28/2014
12/30/2013 jan 14 $0.13 1/13/2014 1/15/2014 1/30/2014
9/26/2013 monthly $0.13 13.33% 12/12/2013 12/16/2013 12/30/2013
9/26/2013 monthly $0.13 13.33% 11/13/2013 11/15/2013 11/27/2013
9/26/2013 monthly $0.13 13.33% 10/10/2013 10/15/2013 10/30/2013
9/25/2013 oct 13 $0.13 10/15/2013 10/30/2013
6/18/2013 monthly $0.16 14.58% 8/13/2013 8/15/2013 8/29/2013
6/18/2013 monthly $0.16 14.58% 9/12/2013 9/16/2013 9/27/2013
6/18/2013 monthly $0.16 14.58% 7/11/2013 7/15/2013 7/30/2013
6/17/2013 jul 13 $0.16 7/15/2013 7/30/2013
4/16/2013 apr 13 $0.13 4/22/2013 4/29/2013
4/16/2013 monthly $0.16 12.96% 6/12/2013 6/14/2013 6/27/2013
4/16/2013 special $0.13 4/18/2013 4/22/2013 4/29/2013
4/16/2013 monthly $0.16 12.96% 5/13/2013 5/15/2013 5/30/2013

What is Five Oaks Investment Corp.’s stock symbol?

Five Oaks Investment Corp. trades on the NYSE under the ticker symbol “OAKS”.

How often does Five Oaks Investment Corp. pay dividends?

Five Oaks Investment Corp. declared a monthly dividend on 8/15/2017. Stockholders which are holding OAKS since 8/11/2017 will be paid a dividend of $0.05 per share on 8/30/2017. The ex-dividend date is 8/11/2017.

What is the dividend yield for Five Oaks Investment Corp.?

This represents a $0.60 dividend on an annualized basis and a dividend yield of 11.28%.