MidCap Financial Investme...

13.94
0.17 (1.23%)
At close: Jan 28, 2025, 3:18 PM

Dividends

MidCap Financial Investment Corporation has an annual dividend of $1.52 per share, with a forward yield of 11.04%. The dividend is paid every 3 months and the last ex-dividend date was Dec 10, 2024.
11.04%
1.52
Dec 10, 2024
Quartely
98.7%
0%

Dividends History

Ex-Divid. Date Cash Amount Record Date Pay Date
Dec 10, 2024 0.380 Dec 10, 2024 Dec 26, 2024
Sep 10, 2024 0.380 Sep 10, 2024 Sep 26, 2024
Aug 5, 2024 0.200 Aug 5, 2024 Aug 15, 2024
Jun 11, 2024 0.380 Jun 11, 2024 Jun 27, 2024
Mar 11, 2024 0.380 Mar 12, 2024 Mar 28, 2024
Dec 11, 2023 0.380 Dec 12, 2023 Dec 28, 2023
Sep 11, 2023 0.380 Sep 12, 2023 Sep 28, 2023
Jun 12, 2023 0.380 Jun 13, 2023 Jun 29, 2023
Mar 13, 2023 0.380 Mar 14, 2023 Mar 30, 2023
Dec 16, 2022 0.370 Dec 19, 2022 Jan 5, 2023
Sep 19, 2022 0.320 Sep 20, 2022 Oct 11, 2022
Jun 15, 2022 0.360 Jun 16, 2022 Jul 7, 2022
Mar 18, 2022 0.360 Mar 21, 2022 Apr 7, 2022
Dec 17, 2021 0.360 Dec 20, 2021 Jan 6, 2022
Sep 20, 2021 0.360 Sep 21, 2021 Oct 8, 2021
Jun 16, 2021 0.360 Jun 17, 2021 Jul 7, 2021
Mar 18, 2021 0.360 Mar 19, 2021 Apr 5, 2021
Dec 18, 2020 0.360 Dec 21, 2020 Jan 7, 2021
Sep 18, 2020 0.360 Sep 21, 2020 Oct 7, 2020
Jun 17, 2020 0.450 Jun 18, 2020 Jul 8, 2020
Mar 19, 2020 0.450 Mar 20, 2020 Apr 6, 2020
Dec 19, 2019 0.450 Dec 20, 2019 Jan 6, 2020
Sep 19, 2019 0.450 Sep 20, 2019 Oct 7, 2019
Jun 19, 2019 0.450 Jun 20, 2019 Jul 5, 2019
Mar 20, 2019 0.450 Mar 21, 2019 Apr 5, 2019
Dec 19, 2018 0.450 Dec 20, 2018 Jan 4, 2019
Sep 21, 2018 0.450 Sep 24, 2018 Oct 9, 2018
Jun 20, 2018 0.450 Jun 21, 2018 Jul 6, 2018
Mar 26, 2018 0.450 Mar 27, 2018 Apr 12, 2018
Dec 20, 2017 0.450 Dec 21, 2017 Jan 5, 2018
Sep 20, 2017 0.450 Sep 21, 2017 Oct 5, 2017
Jun 19, 2017 0.450 Jun 21, 2017 Jul 6, 2017
Mar 17, 2017 0.450 Mar 21, 2017 Apr 6, 2017
Dec 19, 2016 0.450 Dec 21, 2016 Jan 5, 2017
Sep 19, 2016 0.450 Sep 21, 2016 Oct 5, 2016
Jun 17, 2016 0.600 Jun 21, 2016 Jul 6, 2016
Mar 17, 2016 0.600 Mar 21, 2016 Apr 6, 2016
Dec 17, 2015 0.600 Dec 21, 2015 Jan 5, 2016
Sep 17, 2015 0.600 Sep 21, 2015 Oct 6, 2015
Jun 17, 2015 0.600 Jun 19, 2015 Jul 6, 2015
Mar 18, 2015 0.600 Mar 20, 2015 Apr 6, 2015
Dec 17, 2014 0.600 Dec 19, 2014 Jan 5, 2015
Sep 17, 2014 0.600 Sep 19, 2014 Oct 6, 2014
Jun 18, 2014 0.600 Jun 20, 2014 Jul 7, 2014
Mar 19, 2014 0.600 Mar 21, 2014 Apr 7, 2014
Dec 17, 2013 0.600 Dec 19, 2013 Jan 6, 2014
Sep 18, 2013 0.600 Sep 20, 2013 Oct 4, 2013
Jun 18, 2013 0.600 Jun 20, 2013 Jul 5, 2013
Mar 19, 2013 0.600 Mar 21, 2013 Apr 4, 2013
Dec 14, 2012 0.600 Dec 18, 2012 Jan 4, 2013
Sep 11, 2012 0.600 Sep 13, 2012 Oct 4, 2012
Jun 12, 2012 0.600 Jun 14, 2012 Jul 5, 2012
Feb 15, 2012 0.600 Feb 18, 2012 Apr 3, 2012
Dec 13, 2011 0.840 Dec 15, 2011 Jan 4, 2012
Sep 13, 2011 0.840 Sep 15, 2011 Oct 4, 2011
Jun 14, 2011 0.840 Jun 16, 2011 Jul 6, 2011
Mar 15, 2011 0.840 Mar 17, 2011 Apr 4, 2011
Dec 14, 2010 0.840 Dec 16, 2010 Jan 5, 2011
Sep 14, 2010 0.840 Sep 16, 2010 Oct 1, 2010
Jun 15, 2010 0.840 Jun 17, 2010 Jul 1, 2010
Mar 16, 2010 0.840 Mar 18, 2010 Apr 2, 2010
Dec 15, 2009 0.840 Dec 17, 2009 Jan 5, 2010
Sep 15, 2009 0.840 Sep 17, 2009 Oct 1, 2009
Jun 16, 2009 0.780 Jun 18, 2009 Jul 2, 2009
Mar 17, 2009 0.780 Mar 19, 2009 Apr 2, 2009
Dec 16, 2008 1.560 Dec 18, 2008 Dec 29, 2008
Sep 16, 2008 1.560 Sep 18, 2008 Sep 29, 2008
Jun 17, 2008 1.560 Jun 19, 2008 Jun 26, 2008
Mar 18, 2008 1.560 Mar 20, 2008 Mar 27, 2008
Dec 17, 2007 1.560 Dec 19, 2007 Dec 27, 2007
Sep 12, 2007 1.560 Sep 13, 2007 Sep 27, 2007
Jun 19, 2007 1.530 Jun 21, 2007 Jun 28, 2007
Mar 20, 2007 1.530 Mar 22, 2007 Mar 29, 2007
Dec 19, 2006 1.500 Dec 21, 2006 Dec 28, 2006
Sep 19, 2006 1.410 Sep 21, 2006 Sep 28, 2006
Jun 20, 2006 1.350 Jun 22, 2006 Jun 29, 2006
Mar 10, 2006 1.350 Mar 14, 2006 Mar 30, 2006
Dec 20, 2005 1.320 Dec 22, 2005 Dec 29, 2005
Sep 20, 2005 1.290 Sep 22, 2005 Sep 29, 2005
Jun 21, 2005 0.930 Jun 23, 2005 Jun 30, 2005
Mar 22, 2005 0.780 Mar 24, 2005 Mar 30, 2005
Dec 21, 2004 0.540 Dec 23, 2004 Dec 30, 2004
Sep 21, 2004 0.135 Sep 23, 2004 Sep 30, 2004
* Dividend amounts are adjusted for stock splits when applicable.