Firm Capital Mortgage Investment Corporation (FRA:74X)
Germany flag Germany · Delayed Price · Currency is EUR
7.00
0.00 (0.00%)
At close: Dec 5, 2025

FRA:74X Dividend Information

FRA:74X has an annual dividend of €0.60 per share, with a yield of 8.52%. The dividend is paid every month and the last ex-dividend date was Nov 28, 2025.

Dividend Yield
8.52%
Annual Dividend
€0.60
Ex-Dividend Date
Nov 28, 2025
Payout Frequency
Monthly
Payout Ratio
96.15%
Dividend Growth
-10.96%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2025-11-28€0.047932025-11-282025-12-15
2025-10-31€0.048242025-10-312025-11-17
2025-09-29€0.047842025-09-302025-10-15
2025-08-29€0.04862025-08-292025-09-15
2025-07-31€0.04922025-07-312025-08-15
2025-06-30€0.048752025-06-302025-07-15
2025-05-30€0.049732025-05-302025-06-16
2025-04-30€0.049412025-04-302025-05-15
2025-03-31€0.05042025-03-312025-04-15
2025-02-28€0.051952025-02-282025-03-17
2025-01-31€0.051932025-01-312025-02-17
2024-12-31€0.052242024-12-312025-01-15
2024-11-29€0.052772024-11-292024-12-16
2024-10-31€0.05162024-10-312024-11-15
2024-09-27€0.051812024-09-302024-10-15
2024-08-30€0.052242024-08-302024-09-16
2024-07-31€0.052122024-07-312024-08-15
2024-06-28€0.05322024-06-282024-07-15
2024-05-31€0.052652024-05-312024-06-17
2024-04-29€0.053372024-04-302024-05-15
2024-03-27€0.053092024-03-312024-04-15
2024-02-28€0.053172024-02-292024-03-15
2024-01-30€0.053682024-01-312024-02-15
2023-12-28€0.089912023-12-312024-01-15
2023-11-29€0.05232023-11-302023-12-15
2023-10-30€0.053132023-10-312023-11-15
2023-09-28€0.05492023-09-292023-10-16
2023-08-30€0.052962023-08-312023-09-15
2023-07-28€0.053792023-07-312023-08-15
2023-06-29€0.053962023-06-302023-07-17
2023-05-30€0.053592023-05-312023-06-15
2023-04-27€0.051852023-04-302023-05-15
2023-03-30€0.053042023-03-312023-04-17
2023-02-27€0.054292023-02-282023-03-15
2023-01-30€0.053972023-01-312023-02-15
2022-12-29€0.063722022-12-312023-01-16
2022-11-29€0.055852022-11-302022-12-15
2022-10-28€0.057692022-10-312022-11-15
2022-09-28€0.059092022-09-302022-10-17
2022-08-30€0.060012022-08-312022-09-15
2022-07-28€0.059752022-07-312022-08-15
2022-06-29€0.057492022-06-302022-07-15
2022-05-30€0.057122022-05-312022-06-15
2022-04-28€0.057632022-04-292022-05-16
2022-03-30€0.056172022-03-312022-04-15
2022-02-25€0.054482022-02-282022-03-15
2022-01-28€0.055012022-01-312022-02-15
2021-12-30€0.061922021-12-312022-01-17
2021-11-29€0.05392021-11-302021-12-15
2021-10-28€0.054522021-10-312021-11-15
2021-09-28€0.052722021-09-302021-10-15
2021-08-30€0.052362021-08-312021-09-15
2021-07-29€0.052552021-07-302021-08-16
2021-06-29€0.053022021-06-302021-07-15
2021-05-28€0.052932021-05-312021-06-15
2021-04-29€0.052152021-04-302021-05-17
2021-03-30€0.052572021-03-312021-04-15
2021-02-25€0.05122021-02-282021-03-15
2021-01-28€0.050472021-01-312021-02-15
2020-12-30€0.054852020-12-312021-01-15
* Dividend amounts are adjusted for stock splits when applicable.

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