NewsHK
Quarterly income distributions have become a recurring point of reference for investors comparing distributed yield against fixed-income alternatives in the current rate environment.
REFI has declared a cash dividend of USD 0.47 per share, on a quarterly schedule, with both the ex-dividend date and the record date set at September 30, 2026. The September 30 dates establish the eligibility window.
Shareholders on the record as of that date will receive the USD 0.47 per share when it settles on October 15, 15 days later.
The quarterly cadence indicates REFI has structured its shareholder distributions on a four-times-a-year basis.
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