Ellington Financial Inc.

Ellington Financial Inc.

0A26.L
Ellington Financial Inc.GB flagLondon Stock Exchange
13.74
USD
+1.15
- -
1.47BMarket Cap
Ellington Financial Inc.
0A26.L
(London Stock Exchange)

Recent

price

13.74

P/E

ratio

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div

yld

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ROIC.AI

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Capital Structure

FRC

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Working Capital

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Growth Rates

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Business
Ellington Financial Inc. (NYSE: EFC; LSE: 0A26) is a specialty finance company that primarily invests in and manages a diversified portfolio of financial assets focused on residential mortgage-backed securities, commercial mortgage-backed securities, non-agency residential mortgage-backed securities, agency residential whole-pool pass-through certificates, non-agency commercial mortgage-backed securities, asset-backed securities, collateralized loan obligations, U.S. Treasury securities, and commercial real estate loans. The company offers equity and preferred equity investment products; mortgage-backed securities investment services; and collateralized loan obligation investment services. Ellington Financial operates primarily in the United States, with its headquarters in Old Greenwich, Connecticut, and was founded in 2007 as a publicly traded real estate investment trust (REIT). Its target markets include institutional investors seeking high current income through leveraged investment strategies in mortgage-related and other financial assets, with a focus on opportunistic credit investments across residential and commercial sectors. The company maintains a lean management team led by experienced professionals from Ellington Management Group, leveraging proprietary models for asset selection and risk management. Subsidiaries and affiliates support its operations in portfolio management and capital markets activities. In recent developments, Ellington Financial announced a $300 million at-the-market offering of common stock in Q3 2025 to fund portfolio expansion amid favorable interest rate environments [web:previous]. The company completed the acquisition of a $450 million portfolio of non-qualified mortgage loans in early 2025, enhancing its non-agency residential segment; entered a strategic co-investment partnership with a major institutional lender for commercial real estate debt in mid-2025; and launched a new series of preferred shares to bolster its capital structure following strong quarterly dividend distributions [web:previous]. These moves reflect ongoing portfolio diversification and capital-raising efforts to capitalize on market dislocations in the mortgage sector.