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    Orchid Island Capital Announces Estimated Second Quarter 2026 Results and June 30, 2026 RMBS Portfolio Characteristics

    7/13/26 4:12:00 PM ET
    $ORC
    Real Estate Investment Trusts
    Real Estate
    Get the next $ORC alert in real time by email
    • Estimated Book Value Per Share as of June 30, 2026 of $7.22

    • Estimated GAAP net income of $0.44 per share for the quarter ended June 30, 2026 including an estimated $0.18 per share of net realized and unrealized gains on RMBS and derivative instruments
    • Estimated 6.2% total return on equity for the quarter ended June 30, 2026 
    • Estimated book value, net income and total return on equity amounts are preliminary, subject to change, and subject to review by the Company’s independent registered public accounting firm
    • RMBS Portfolio Characteristics as of June 30, 2026 



    Vero Beach, Fla., July 13, 2026 (GLOBE NEWSWIRE) -- Orchid Island Capital, Inc. (the "Company") (NYSE:ORC) announced today its estimated second quarter of 2026 results and portfolio characteristics as of June 30, 2026.

    Shares Outstanding

    As of July 13, 2026 and June 30, 2026, the Company had 199,603,438 shares of common stock outstanding. As of March 31, 2026, the Company had 196,700,226 shares of common stock outstanding.

    Estimated June 30, 2026 Book Value Per Share

    The Company’s estimated book value per share as of June 30, 2026 was $7.22.  The Company computes book value per share by dividing total stockholders' equity by the total number of outstanding shares of common stock. At June 30, 2026, the Company's preliminary estimated total stockholders' equity was approximately $1.4 billion with 199,603,438 shares of common stock outstanding. These figures and the resulting estimated book value per share are preliminary, subject to change, and subject to review by the Company’s independent registered public accounting firm. 

    Estimated Net Income Per Share and Realized and Unrealized Gains on RMBS and Derivative Instruments

    The Company estimates it generated net income per share of $0.44 for the quarter ended June 30, 2026, which includes an estimated $0.18 per share of net realized and unrealized gains on RMBS and derivative instruments. These amounts compare to total dividends declared during the quarter of $0.30 per share. Net income per common share calculated under generally accepted accounting principles can, and does, differ from our real estate investment trust ("REIT") taxable income.  The Company views REIT taxable income as a better indication of income to be paid in the form of a dividend rather than net income. Many components of REIT taxable income can only be estimated at this time and our monthly dividends declared are based on both estimates of REIT taxable income to be earned over the course of the current quarter and calendar year and a longer-term estimate of the REIT taxable income of the Company. These figures are preliminary, subject to change, and subject to review by the Company’s independent registered public accounting firm. 

    Estimated Total Return on Equity

    The Company’s estimated total return on equity for the quarter ended June 30, 2026 was 6.2%. The Company calculates total return on equity as the sum of dividends declared and paid during the quarter plus changes in book value during the quarter, divided by the Company’s stockholders’ equity at the beginning of the quarter. The total return was $0.44 per share, comprised of dividends per share of $0.30 and an increase in book value per share of $0.14 from June 30, 2026.

    RMBS Portfolio Characteristics

    Details of the RMBS portfolio as of June 30, 2026 are presented below. These figures are preliminary and subject to change and, with respect to figures that will appear in the Company’s financial statements and associated footnotes as of and for the quarter ended June 30, 2026, are subject to review by the Company’s independent registered public accounting firm:

    • 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 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, 2025.

     
    RMBS Valuation Characteristics

    ($ in thousands)

                                         Realized

       
                                      Realized

     Apr-26 -

       
                                      Jun-26

     Jun-26

       
                      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 July)

     in July)

     (-50 BPS)

     (+50 BPS)

    Fixed Rate RMBS                                                
    30yr 3.0 $315,785  $280,604   2.43%  88.86   3.00%  3.52%  62   291   8.1%  6.5% $8,376  $(8,497)
    30yr 3.5  37,144   33,944   0.29%  91.39   3.50%  4.30%  81   260   1.7%  3.7%  993   (1,011)
    30yr 4.0  47,532   45,097   0.39%  94.88   4.00%  4.77%  85   270   10.2%  11.4%  1,169   (1,208)
    30yr 4.5  436,796   422,712   3.66%  96.78   4.50%  5.46%  30   326   7.6%  6.1%  9,135   (10,098)
    30yr 5.0  2,163,688   2,140,194   18.55%  98.91   5.00%  6.00%  13   344   4.6%  5.2%  40,360   (47,402)
    30yr 5.5  4,030,632   4,086,306   35.41%  101.38   5.50%  6.45%  13   343   6.4%  6.6%  60,965   (76,234)
    30yr 6.0  3,051,319   3,146,124   27.26%  103.11   6.00%  6.92%  18   336   11.0%  15.1%  31,503   (43,625)
    30yr 6.5  1,261,375   1,317,446   11.42%  104.45   6.50%  7.39%  20   334   22.2%  22.8%  9,259   (13,756)
    30yr 7.0  52,676   55,771   0.48%  105.88   7.00%  7.91%  31   321   15.6%  42.4%  458   (600)
    Total Pass-Through RMBS  11,396,947   11,528,198   99.90%  101.15   5.54%  6.47%  18   338   9.2%  10.9%  162,218   (202,431)
    Total Structured RMBS  82,573   11,966   0.10%  14.49   3.39%  4.59%  139   204   7.2%  7.0%  63   95 
                                                     
    Total Mortgage Assets $11,479,520  $11,540,164   100.00%      5.52%  6.45%  19   337   9.2%  10.9% $162,281  $(202,336)
                                                     



        Hedge Modeled Interest

      Notional

    Period Rate Sensitivity (1)

    Hedge Balance

    End (-50 BPS)

     (+50 BPS)

    3-Month SOFR Futures $(390,000)Jan-27 $(1,950) $1,950 
    10-Year Treasury Future(3)  (188,600)May-33  (6,062)  5,854 
    10-Year Ultra Treasury Future(4)  (60,000)Feb-36  (2,628)  2,542 
    ERIS SOFR Swap Futures  (10,000)Sep-31  (182)  177 
    Swaps  (7,814,200)Feb-31  (160,872)  155,615 
    Swaptions  (1,000,000)Dec-31  (2,737)  5,001 
    TBA Short  (594,900)Jul-26  (8,005)  10,686 
    Hedge Total $(10,057,700)  $(182,436) $181,825 
    Rate Shock Grand Total      $(20,155) $(20,511)



    (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) Ten-year Treasury futures contracts were valued at prices of $109.89 at June 30, 2026. The market value of the short position was $207.3 million.
    (3) Ten-year Ultra futures contracts were valued at prices of $112.47 at June 30, 2026 The market value of the short position was $67.5 million.
       



    RMBS Assets by Agency

    ($ in thousands)

          Percentage

      Fair

     of

    Asset Category Value

     Portfolio

    As of June 30, 2026        
    Fannie Mae $6,022,656   52.2%
    Freddie Mac  5,517,509   47.8%
    Total Mortgage Assets $11,540,165   100.0%
             



    Investment Company Act of 1940 Whole Pool Test

    ($ in thousands)

          Percentage

      Fair

     of

    Asset Category Value

     Portfolio

    As of June 30, 2026        
    Non-Whole Pool Assets $574,055   5.0%
    Whole Pool Assets  10,966,109   95.0%
    Total Mortgage Assets $11,540,164   100.0%
             



    Borrowings By Counterparty

    ($ in thousands)

              Weighted

     Weighted  
          % of

     Average

     Average  
      Total

     Total

     Repo

     Maturity Longest
    As of June 30, 2026 Borrowings

     Debt

     Rate

     in Days Maturity
    Wells Fargo Securities, LLC $568,720   5.1%  3.77%  14 8/19/2026
    Marex Capital Markets Inc.  497,411   4.5%  3.78%  20 7/23/2026
    StoneX Financial Inc.  486,529   4.4%  3.79%  73 9/23/2026
    Hidden Road Partners Civ US LLC  484,902   4.4%  3.76%  53 8/26/2026
    Citigroup Global Markets Inc  483,698   4.4%  3.76%  29 9/21/2026
    ABN AMRO Bank N.V.  477,675   4.3%  3.76%  24 7/27/2026
    ASL Capital Markets Inc.  472,828   4.3%  3.77%  57 9/21/2026
    The Bank of Nova Scotia  460,634   4.2%  3.75%  27 8/13/2026
    South Street Securities, LLC  458,067   4.1%  3.82%  68 11/13/2026
    J.P. Morgan Securities LLC  451,719   4.1%  3.78%  27 7/27/2026
    RBC Capital Markets, LLC  445,012   4.0%  3.82%  27 7/27/2026
    Cantor Fitzgerald & Co  424,847   3.8%  3.76%  24 7/24/2026
    DV Securities, LLC Repo  423,823   3.8%  3.77%  47 8/27/2026
    Banco Santander SA  413,756   3.7%  3.77%  14 7/20/2026
    Daiwa Securities America Inc.  407,688   3.7%  3.81%  67 9/23/2026
    Clear Street LLC  407,554   3.7%  3.76%  17 7/20/2026
    Goldman, Sachs & Co  395,928   3.6%  3.76%  27 7/27/2026
    Bank of Montreal  376,058   3.4%  3.76%  15 7/15/2026
    ING Financial Markets LLC  370,344   3.3%  3.80%  13 7/13/2026
    Brean Capital, LLC  299,159   2.7%  3.76%  21 7/27/2026
    Mirae Asset Securities (USA) Inc.  296,573   2.7%  3.79%  47 8/24/2026
    MUFG Securities Canada, Ltd.  268,537   2.4%  3.75%  30 8/4/2026
    Morgan Stanley & Co. LLC  260,567   2.4%  3.74%  9 7/15/2026
    Merrill Lynch, Pierce, Fenner & Smith  252,699   2.3%  3.78%  26 7/27/2026
    Mitsubishi UFJ Securities (USA), Inc.  239,196   2.2%  3.77%  22 7/22/2026
    TD Securities (USA) LLC  219,140   2.0%  3.78%  42 8/11/2026
    Nomura Securities International, Inc.  212,865   1.9%  3.76%  40 8/14/2026
    Mizuho Securities USA LLC  182,067   1.6%  3.77%  15 7/15/2026
    Natixis, New York Branch  137,685   1.2%  3.76%  19 7/24/2026
    BNP Paribas Securities Corp.  135,654   1.2%  3.78%  41 8/10/2026
    Lucid Prime Fund, LLC  30,438   0.3%  3.75%  16 7/16/2026
    Canyon Partners, LLC  23,899   0.2%  3.71%  17 7/17/2026
    Mesirow Financial, Inc.  21,243   0.2%  3.75%  16 7/16/2026
    Total Borrowings $11,086,915   100.0%  3.77%  32 11/13/2026
                      

    Contact:

    Orchid Island Capital, Inc.

    Robert E. Cauley

    3305 Flamingo Drive, Vero Beach, Florida 32963

    Telephone: (772) 231-1400



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    $ORC
    Real Estate Investment Trusts
    Real Estate

    SEC Form SC 13G/A filed by Orchid Island Capital Inc. (Amendment)

    SC 13G/A - Orchid Island Capital, Inc. (0001518621) (Subject)

    2/13/24 5:12:22 PM ET
    $ORC
    Real Estate Investment Trusts
    Real Estate