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AGNCM
AGNC Investment Corp.
24.77
1 x 24.94
1 x 25.00
bid
ask
-
0.23
0.92%
1 @ 04:00 PM
24.86 +0.09 (0.36%)
Ytd1.06%
1y0.90%
24.60
day range
24.87
23.63
52 week range
25.34
Open24.66Prev Close25.00Low24.60High24.87Mkt CapN/A
Vol60.76KAvg Vol19.46KEPS-1.86P/EN/AForward P/EN/A
Beta1.36Short Ratio0.41Inst. Own23.05%Dividend2.19Div Yield8.79
Ex Div Date04-01Earning07-2550-d Avg24.97200-d Avg24.801yr Est0.00
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DateFirmActionFromTo
Profile
AGNC Investment Corp. provides private capital to housing market in the United States. It invests in residential mortgage pass-through securities and collateralized mortgage obligations for which the principal and interest payments are guaranteed by the United States government-sponsored enterprise or by the United States government agency. The company qualifies as a real estate investment trust for federal income tax purposes. It generally would not be subject to federal or state corporate income taxes if it distributes at least 90% of its taxable income to its stockholders. The company was formerly known as American Capital Agency Corp. and changed its name to AGNC Investment Corp. in September 2016. AGNC Investment Corp. was incorporated in 2008 and is headquartered in Bethesda, Maryland.
Institution Ownership
Report DateOrganizationPositionValuePercentage
2025-12-30Kelleher Financial Advisors9.79K242.65K0.11%
Fund Ownership
Report DateOrganizationPositionValuePercentage
2026-02-27iShares Trust-iShares Preferred and Income Securities ETF681.48K16.89M7.57%
2026-01-30Fidelity Securities Fund-Fidelity Real Estate Income Fund673.97K16.70M7.49%
2026-03-30First TRT Exch-Trd Fd. III-First TRT Preferred Securities and Income E300.54K7.45M3.34%
2026-02-27AMERICAN BEACON Fd.S-American Beacon SiM High Yield Opportunities Fd.239.07K5.92M2.66%
2026-02-27Invesco Exch-Trd Fd. TRT II-Invesco Varbl Rate Preferred ETF85.30K2.11M0.95%
2026-03-30GLOBAL X FUNDS-Global X Variable Rate Preferred ETF80.90K2.00M0.90%
Dividend
DividendDate
0.522822026-07-01
0.516552026-04-01
0.542242025-12-31
0.569342025-10-01
0.559532025-07-01
0.556322025-04-01