In the latest trading session,, 1.29 million Annaly Capital Management Inc (NYSE:NLY) shares changed hands as the company’s beta touched 1.30. With the company’s most recent per share price at $19.43 changing hands around $0.06 or 0.31% at last look, the market valuation stands at $11.76B. NLY’s current price is a discount, trading about -13.79% off its 52-week high of $22.11. The share price had its 52-week low at $16.59, which suggests the last value was 14.62% up since then.
Analysts gave the Annaly Capital Management Inc (NLY) stock a consensus recommendation rating of Buy, calculated at a mean rating of 1.77. If we narrow down to specifics, the data shows that 0 out of 7 analysts rate the stock as a Sell, with a further 0 assigning it an Overweight rating. Of the remaining, 0 recommended NLY as a Hold, 7 felt it is a Buy and 0 rated the stock as Underweight.
Annaly Capital Management Inc (NYSE:NLY) trade information
Instantly NLY is in green as seen in intraday trades today. With action 2.32%, the performance over the past five days has been green. The company’s shares are showing year-to-date upside of 6.17%, with the 5-day performance at 2.32% in the green. However, in the 30-day time frame, Annaly Capital Management Inc (NYSE:NLY) is -0.31% down.
The consensus price target for the stock as assigned by Wall Street analysts is 23, meaning bulls need an upside of 15.52% from its recent market value. According to analyst projections, NLY’s forecast low is 20.5 with 34 as the target high. To hit the forecast high, the stock’s price needs a -74.99% plunge from its current level, while the stock would need to soar -5.51% for it to hit the projected low.
The 2025 estimates are for Annaly Capital Management Inc earnings to increase by 5.66%, but the outlook for the next 5-year period is at 2.75% per year.
NLY Dividends
Annaly Capital Management Inc is expected to release its next quarterly earnings report in July. The 13.64% annual yield figure for the share gives it an annual dividend of 2.65. It is important to note, however, that the 13.64% dividend yield ratio should serve as a guide only, as you should also take into consideration many other aspects of a company’s operations and fundamentals before making any investment decision.
VANGUARD GROUP INC holds the second largest percentage of outstanding shares, with 9.7745% or 48.97 million shares worth $933.28 million as of 2024-06-30.
Among Mutual Funds, the top two as of Apr 30, 2025 were iShares Trust-iShares Core S&P Mid-Cap ETF and VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund . With 18.73 shares estimated at $364.5 million under it, the former controlled 3.13% of total outstanding shares. On the other hand, VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund held about 3.06% of the shares, roughly 18.28 shares worth around $355.74 million.