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First Trust Mortgage Income Fund (the "Fund") (NYSE:FMY) has declared the Fund's regularly scheduled monthly common share distribution in the amount of $0.065 per share payable on February 17, 2026, to shareholders of record as of February 2, 2026. The ex-dividend date is expected to be February 2, 2026. The monthly distribution information for the Fund appears below. First Trust Mortgage Income Fund (FMY): Distribution per share: $0.065 Distribution Rate based on the January 16, 2026 NAV of $12.79: 6.10% Distribution Rate based on the January 16, 2026 closing market price of $12.26: 6.36% A portion of this distribution may come from net
First Trust Mortgage Income Fund (the "Fund") (NYSE:FMY) has declared the Fund's regularly scheduled monthly common share distribution in the amount of $0.065 per share payable on January 15, 2026, to shareholders of record as of December 31, 2025. The ex-dividend date is expected to be December 31, 2025. The monthly distribution information for the Fund appears below. First Trust Mortgage Income Fund (FMY): Distribution per share: $0.065 Distribution Rate based on the December 17, 2025 NAV of $12.83: 6.08% Distribution Rate based on the December 17, 2025 closing market price of $11.88: 6.57% A portion o
First Trust Mortgage Income Fund (the "Fund") (NYSE:FMY) has declared the Fund's regularly scheduled monthly common share distribution in the amount of $0.065 per share payable on December 15, 2025, to shareholders of record as of December 1, 2025. The ex-dividend date is expected to be December 1, 2025. The monthly distribution information for the Fund appears below. First Trust Mortgage Income Fund (FMY): Distribution per share: $0.065 Distribution Rate based on the November 19, 2025 NAV of $12.86: 6.07% Distribution Rate based on the November 19, 2025 closing market price of $11.97: 6.52% A portion of this distribution
4 - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Issuer)
4 - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Issuer)
3 - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Issuer)
4 - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Issuer)
4 - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Issuer)
N-CEN - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Filer)
N-CSR - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Filer)
SCHEDULE 13D/A - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Subject)
First Trust Mortgage Income Fund (the "Fund") (NYSE:FMY) has declared the Fund's regularly scheduled monthly common share distribution in the amount of $0.065 per share payable on February 17, 2026, to shareholders of record as of February 2, 2026. The ex-dividend date is expected to be February 2, 2026. The monthly distribution information for the Fund appears below. First Trust Mortgage Income Fund (FMY): Distribution per share: $0.065 Distribution Rate based on the January 16, 2026 NAV of $12.79: 6.10% Distribution Rate based on the January 16, 2026 closing market price of $12.26: 6.36% A portion of this distribution may come from net
First Trust Mortgage Income Fund (the "Fund") (NYSE:FMY) has declared the Fund's regularly scheduled monthly common share distribution in the amount of $0.065 per share payable on January 15, 2026, to shareholders of record as of December 31, 2025. The ex-dividend date is expected to be December 31, 2025. The monthly distribution information for the Fund appears below. First Trust Mortgage Income Fund (FMY): Distribution per share: $0.065 Distribution Rate based on the December 17, 2025 NAV of $12.83: 6.08% Distribution Rate based on the December 17, 2025 closing market price of $11.88: 6.57% A portion o
First Trust Mortgage Income Fund (the "Fund") (NYSE:FMY) has declared the Fund's regularly scheduled monthly common share distribution in the amount of $0.065 per share payable on December 15, 2025, to shareholders of record as of December 1, 2025. The ex-dividend date is expected to be December 1, 2025. The monthly distribution information for the Fund appears below. First Trust Mortgage Income Fund (FMY): Distribution per share: $0.065 Distribution Rate based on the November 19, 2025 NAV of $12.86: 6.07% Distribution Rate based on the November 19, 2025 closing market price of $11.97: 6.52% A portion of this distribution
SC 13G/A - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Subject)
SC 13D/A - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Subject)
SC 13G/A - FIRST TRUST MORTGAGE INCOME FUND (0001319183) (Subject)