Ellington Financial Inc. (FRA:1EL)
Germany flag Germany · Delayed Price · Currency is EUR
11.77
+0.10 (0.86%)
Last updated: Dec 5, 2025, 7:55 PM CET

Ellington Financial Dividend Information

Ellington Financial has an annual dividend of €1.39 per share, with a yield of 11.85%. The dividend is paid every month and the last ex-dividend date was Nov 28, 2025.

Dividend Yield
11.85%
Annual Dividend
€1.39
Ex-Dividend Date
Nov 28, 2025
Payout Frequency
Monthly
Payout Ratio
113.61%
Dividend Growth
-3.05%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2025-11-28€0.112092025-11-282025-12-31
2025-10-31€0.112422025-10-312025-11-28
2025-09-30€0.110812025-09-302025-10-31
2025-08-29€0.111482025-08-292025-09-30
2025-07-31€0.113222025-07-312025-08-29
2025-06-30€0.110962025-06-302025-07-31
2025-05-30€0.114412025-05-302025-06-30
2025-04-30€0.114042025-04-302025-05-27
2025-03-31€0.120022025-03-312025-04-25
2025-02-28€0.124932025-02-282025-03-25
2025-01-31€0.124712025-01-312025-02-25
2024-12-31€0.125292024-12-312025-01-27
2024-11-29€0.123232024-11-292024-12-26
2024-10-31€0.11972024-10-312024-11-25
2024-09-30€0.116442024-09-302024-10-25
2024-08-30€0.117362024-08-302024-09-25
2024-07-31€0.120342024-07-312024-08-26
2024-06-28€0.121432024-06-282024-07-25
2024-05-31€0.119892024-05-312024-06-25
2024-04-29€0.121772024-04-302024-05-28
2024-03-27€0.120082024-03-292024-04-25
2024-02-28€0.138232024-02-292024-03-25
2024-01-30€0.138842024-01-312024-02-26
2023-12-28€0.080932023-12-292024-01-25
2023-12-07€0.055592023-12-082023-12-13
2023-11-29€0.136522023-11-302023-12-26
2023-10-30€0.141622023-10-312023-11-27
2023-09-28€0.142592023-09-292023-10-25
2023-08-30€0.138332023-08-312023-09-25
2023-07-28€0.136492023-07-312023-08-25
2023-06-29€0.137422023-06-302023-07-25
2023-05-30€0.140062023-05-312023-06-26
2023-04-27€0.13582023-04-282023-05-25
2023-03-30€0.138472023-03-312023-04-25
2023-02-27€0.142172023-02-282023-03-27
2023-01-30€0.138182023-01-312023-02-27
2022-12-29€0.141212022-12-302023-01-25
2022-11-29€0.144452022-11-302022-12-27
2022-10-28€0.14992022-10-312022-11-25
2022-09-29€0.155552022-09-302022-10-25
2022-08-30€0.150152022-08-312022-09-26
2022-07-28€0.148052022-07-292022-08-25
2022-06-29€0.142522022-06-302022-07-25
2022-05-27€0.139832022-05-312022-06-27
2022-04-28€0.142322022-04-292022-05-25
2022-03-30€0.135142022-03-312022-04-25
2022-02-25€0.134662022-02-282022-03-25
2022-01-28€0.134512022-01-312022-02-25
2021-12-29€0.132592021-12-302022-01-25
2021-11-29€0.132562021-11-302021-12-27
2021-10-28€0.129442021-10-292021-11-26
2021-09-29€0.128432021-09-302021-10-25
2021-08-30€0.127222021-08-312021-09-27
2021-07-29€0.127052021-07-302021-08-25
2021-06-29€0.125722021-06-302021-07-26
2021-05-27€0.122822021-05-282021-06-25
2021-04-29€0.115722021-04-302021-05-25
2021-03-30€0.0852021-03-312021-04-26
2021-02-25€0.082422021-02-262021-03-25
2021-01-28€0.082672021-01-292021-02-25
2020-12-30€0.081642020-12-312021-01-25
* Dividend amounts are adjusted for stock splits when applicable.

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