Form 8-K
8-K — Orchid Island Capital, Inc.
Accession: 0001437749-26-023434
Filed: 2026-07-13
Period: 2026-07-13
CIK: 0001518621
SIC: 6798 (REAL ESTATE INVESTMENT TRUSTS)
Item: Results of Operations and Financial Condition
Item: Financial Statements and Exhibits
Documents
8-K — orc20260712_8k.htm (Primary)
EX-99.1 — EXHIBIT 99.1 (ex_987412.htm)
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8-K — FORM 8-K
8-K (Primary)
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orc20260712_8k.htm
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0001518621
0001518621
2026-07-13
2026-07-13
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549
FORM 8-K
CURRENT REPORT
Pursuant to Section 13 or 15(d) of the
Securities Exchange Act of 1934
Date of Report (Date of earliest event reported): July 13, 2026
Orchid Island Capital, Inc.
(Exact Name of Registrant as Specified in Charter)
Maryland
001-35236
27-3269228
(State or Other Jurisdiction of Incorporation)
(Commission File Number)
(IRS Employer Identification No.)
3305 Flamingo Drive, Vero Beach, Florida 32963
(Address of Principal Executive Offices) (Zip Code)
Registrant's telephone number, including area code (772) 231-1400
N/A
(Former Name or Former Address, if Changed Since Last Report)
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
☐
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
☐
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
☐
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
☐
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
Securities registered pursuant to Section 12(b) of the Act:
Title of each class:
Trading symbol:
Name of each exchange on which registered:
Common Stock, par value $0.01 per share
ORC
NYSE
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company ☐
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ☐
Item 2.02. Results of Operations and Financial Condition.
On July 13, 2026, Orchid Island Capital, Inc. (the “Company”) announced its estimated book value of 7.22 per share as of June 30, 2026, certain details of its RMBS portfolio as of June 30, 2026 and estimated GAAP net income per share of $0.44, including an estimated $0.18 per share of net realized and unrealized gains on RMBS and derivative instruments, for the quarter ended June 30, 2026. These figures and the estimated book value per share and estimated GAAP net income per share are preliminary, subject to change, and subject to review by the Company’s independent registered public accounting firm. A copy of the Company’s press release announcing this preliminary information regarding the Company is attached hereto as Exhibit 99.1 and incorporated herein by this reference.
Caution About Forward-Looking Statements.
This Current Report on Form 8-K contains forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995 and other federal securities laws. These forward-looking statements are based upon the Company’s present expectations, but the Company cannot assure investors that actual results will not vary from the expectations contained in the forward-looking statements. Investors should not place undue reliance upon forward looking statements. For further discussion of the factors that could affect outcomes, please refer to the “Risk Factors” section of the Company's Annual Report on Form 10-K for the fiscal year ended December 31, 2025. All forward-looking statements speak only as of the date on which they are made. New risks and uncertainties arise over time, and it is not possible to predict those events or how they may affect the Company. Except as required by law, the Company is not obligated to, and does not intend to, update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.
Item 9.01. Financial Statements and Exhibits.
(d) Exhibits
Exhibit No.
Description
99.1
Press Release dated July 13, 2026
104
Cover Page Interactive Data File (embedded within the Inline XBRL document)
Signatures
Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
Date: July 13, 2026
ORCHID ISLAND CAPITAL, INC.
By:
/s/ Robert E. Cauley
Robert E. Cauley
Chairman and Chief Executive Officer
EX-99.1 — EXHIBIT 99.1
EX-99.1
Filename: ex_987412.htm · Sequence: 2
ex_987412.htm
Exhibit 99.1
ORCHID ISLAND CAPITAL ANNOUNCES
ESTIMATED SECOND QUARTER 2026 RESULTS AND
JUNE 30, 2026 RMBS PORTFOLIO CHARACTERISTICS
●
Estimated Book Value Per Share as of June 30, 2026 of $7.22
●
Estimated GAAP net income of $0.44 per share for the quarter ended June 30, 2026 including an estimated $0.18 per share of net realized and unrealized gains on RMBS and derivative instruments
●
Estimated 6.2% total return on equity for the quarter ended June 30, 2026
●
Estimated book value, net income and total return on equity amounts are preliminary, subject to change, and subject to review by the Company’s independent registered public accounting firm
●
RMBS Portfolio Characteristics as of June 30, 2026
Vero Beach, Fla., July 13, 2026 - Orchid Island Capital, Inc. (the “Company”) (NYSE: ORC) announced today its estimated second quarter of 2026 results and portfolio characteristics as of June 30, 2026.
Shares Outstanding
As of July 13, 2026 and June 30, 2026, the Company had 199,603,438 shares of common stock outstanding. As of March 31, 2026, the Company had 196,700,226 shares of common stock outstanding.
Estimated June 30, 2026 Book Value Per Share
The Company’s estimated book value per share as of June 30, 2026 was $7.22. The Company computes book value per share by dividing total stockholders' equity by the total number of outstanding shares of common stock. At June 30, 2026, the Company's preliminary estimated total stockholders' equity was approximately $1.4 billion with 199,603,438 shares of common stock outstanding. These figures and the resulting estimated book value per share are preliminary, subject to change, and subject to review by the Company’s independent registered public accounting firm.
Estimated Net Income Per Share and Realized and Unrealized Gains on RMBS and Derivative Instruments
The Company estimates it generated net income per share of $0.44 for the quarter ended June 30, 2026, which includes an estimated $0.18 per share of net realized and unrealized gains on RMBS and derivative instruments. These amounts compare to total dividends declared during the quarter of $0.30 per share. Net income per common share calculated under generally accepted accounting principles can, and does, differ from our real estate investment trust ("REIT") taxable income. The Company views REIT taxable income as a better indication of income to be paid in the form of a dividend rather than net income. Many components of REIT taxable income can only be estimated at this time and our monthly dividends declared are based on both estimates of REIT taxable income to be earned over the course of the current quarter and calendar year and a longer-term estimate of the REIT taxable income of the Company. These figures are preliminary, subject to change, and subject to review by the Company’s independent registered public accounting firm.
Estimated Total Return on Equity
The Company’s estimated total return on equity for the quarter ended June 30, 2026 was 6.2%. The Company calculates total return on equity as the sum of dividends declared and paid during the quarter plus changes in book value during the quarter, divided by the Company’s stockholders’ equity at the beginning of the quarter. The total return was $0.44 per share, comprised of dividends per share of $0.30 and an increase in book value per share of $0.14 from June 30, 2026.
RMBS Portfolio Characteristics
Details of the RMBS portfolio as of June 30, 2026 are presented below. These figures are preliminary and subject to change and, with respect to figures that will appear in the Company’s financial statements and associated footnotes as of and for the quarter ended June 30, 2026, are subject to review by the Company’s independent registered public accounting firm:
●
RMBS Valuation Characteristics
●
RMBS Assets by Agency
●
Investment Company Act of 1940 (Whole Pool) Test Results
●
Repurchase Agreement Exposure by Counterparty
●
RMBS Risk Measures
About Orchid Island Capital, Inc.
Orchid Island Capital, Inc. is a specialty finance company that invests on a leveraged basis in Agency RMBS. Our investment strategy focuses on, and our portfolio consists of, two categories of Agency RMBS: (i) traditional pass-through Agency RMBS, such as mortgage pass-through certificates and collateralized mortgage obligations issued by Fannie Mae, Freddie Mac or Ginnie Mae, and (ii) structured Agency RMBS. The Company is managed by Bimini Advisors, LLC, a registered investment adviser with the Securities and Exchange Commission.
Forward-Looking Statements
This press release contains forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995 and other federal securities laws. These forward-looking statements are based upon Orchid Island Capital, Inc.’s present expectations, but these statements are not guaranteed to occur. Investors should not place undue reliance upon forward-looking statements. For further discussion of the factors that could affect outcomes, please refer to the “Risk Factors” section of the Company’s Annual Report on Form 10-K for the fiscal year ended December 31, 2025.
RMBS Valuation Characteristics
($ in thousands)
Realized
Realized
Apr-26 -
Jun-26
Jun-26
Net
Weighted
CPR
CPR
Weighted
Average
(1-Month)
(3-Month)
Modeled Interest
Current
Fair
% of
Current
Average
Maturity
(Reported
(Reported
Rate Sensitivity (1)
Type
Face
Value
Portfolio
Price
Coupon
GWAC
Age
(Months)
in July)
in July)
(-50 BPS)
(+50 BPS)
Fixed Rate RMBS
30yr 3.0
$
315,785
$
280,604
2.43
%
88.86
3.00
%
3.52
%
62
291
8.1
%
6.5
%
$
8,376
$
(8,497
)
30yr 3.5
37,144
33,944
0.29
%
91.39
3.50
%
4.30
%
81
260
1.7
%
3.7
%
993
(1,011
)
30yr 4.0
47,532
45,097
0.39
%
94.88
4.00
%
4.77
%
85
270
10.2
%
11.4
%
1,169
(1,208
)
30yr 4.5
436,796
422,712
3.66
%
96.78
4.50
%
5.46
%
30
326
7.6
%
6.1
%
9,135
(10,098
)
30yr 5.0
2,163,688
2,140,194
18.55
%
98.91
5.00
%
6.00
%
13
344
4.6
%
5.2
%
40,360
(47,402
)
30yr 5.5
4,030,632
4,086,306
35.41
%
101.38
5.50
%
6.45
%
13
343
6.4
%
6.6
%
60,965
(76,234
)
30yr 6.0
3,051,319
3,146,124
27.26
%
103.11
6.00
%
6.92
%
18
336
11.0
%
15.1
%
31,503
(43,625
)
30yr 6.5
1,261,375
1,317,446
11.42
%
104.45
6.50
%
7.39
%
20
334
22.2
%
22.8
%
9,259
(13,756
)
30yr 7.0
52,676
55,771
0.48
%
105.88
7.00
%
7.91
%
31
321
15.6
%
42.4
%
458
(600
)
Total Pass-Through RMBS
11,396,947
11,528,198
99.90
%
101.15
5.54
%
6.47
%
18
338
9.2
%
10.9
%
162,218
(202,431
)
Total Structured RMBS
82,573
11,966
0.10
%
14.49
3.39
%
4.59
%
139
204
7.2
%
7.0
%
63
95
Total Mortgage Assets
$
11,479,520
$
11,540,164
100.00
%
5.52
%
6.45
%
19
337
9.2
%
10.9
%
$
162,281
$
(202,336
)
Hedge
Modeled Interest
Notional
Period
Rate Sensitivity (1)
Hedge
Balance
End
(-50 BPS)
(+50 BPS)
3-Month SOFR Futures
$
(390,000
)
Jan-27
$
(1,950
)
$
1,950
10-Year Treasury Future(2)
(188,600
)
May-33
(6,062
)
5,854
10-Year Ultra Treasury Future(3)
(60,000
)
Feb-36
(2,628
)
2,542
ERIS SOFR Swap Futures
(10,000
)
Sep-31
(182
)
177
Swaps
(7,814,200
)
Feb-31
(160,872
)
155,615
Swaptions
(1,000,000
)
Dec-31
(2,737
)
5,001
TBA Short
(594,900
)
Jul-26
(8,005
)
10,686
Hedge Total
$
(10,057,700
)
$
(182,436
)
$
181,825
Rate Shock Grand Total
$
(20,155
)
$
(20,511
)
(1)
Modeled results from Citigroup Global Markets Inc. Yield Book. Interest rate shocks assume instantaneous parallel shifts and horizon prices are calculated assuming constant SOFR option-adjusted spreads. These results are for illustrative purposes only and actual results may differ materially.
(2)
Ten-year Treasury futures contracts were valued at prices of $109.89 at June 30, 2026. The market value of the short position was $207.3 million.
(3)
Ten-year Ultra futures contracts were valued at prices of $112.47 at June 30, 2026 The market value of the short position was $67.5 million.
RMBS Assets by Agency
($ in thousands)
Percentage
Fair
of
Asset Category
Value
Portfolio
As of June 30, 2026
Fannie Mae
$
6,022,656
52.2
%
Freddie Mac
5,517,509
47.8
%
Total Mortgage Assets
$
11,540,165
100.0
%
Investment Company Act of 1940 Whole Pool Test
($ in thousands)
Percentage
Fair
of
Asset Category
Value
Portfolio
As of June 30, 2026
Non-Whole Pool Assets
$
574,055
5.0
%
Whole Pool Assets
10,966,109
95.0
%
Total Mortgage Assets
$
11,540,164
100.0
%
Borrowings By Counterparty
($ in thousands)
Weighted
Weighted
% of
Average
Average
Total
Total
Repo
Maturity
Longest
As of June 30, 2026
Borrowings
Debt
Rate
in Days
Maturity
Wells Fargo Securities, LLC
$
568,720
5.1
%
3.77
%
14
8/19/2026
Marex Capital Markets Inc.
497,411
4.5
%
3.78
%
20
7/23/2026
StoneX Financial Inc.
486,529
4.4
%
3.79
%
73
9/23/2026
Hidden Road Partners Civ US LLC
484,902
4.4
%
3.76
%
53
8/26/2026
Citigroup Global Markets Inc
483,698
4.4
%
3.76
%
29
9/21/2026
ABN AMRO Bank N.V.
477,675
4.3
%
3.76
%
24
7/27/2026
ASL Capital Markets Inc.
472,828
4.3
%
3.77
%
57
9/21/2026
The Bank of Nova Scotia
460,634
4.2
%
3.75
%
27
8/13/2026
South Street Securities, LLC
458,067
4.1
%
3.82
%
68
11/13/2026
J.P. Morgan Securities LLC
451,719
4.1
%
3.78
%
27
7/27/2026
RBC Capital Markets, LLC
445,012
4.0
%
3.82
%
27
7/27/2026
Cantor Fitzgerald & Co
424,847
3.8
%
3.76
%
24
7/24/2026
DV Securities, LLC Repo
423,823
3.8
%
3.77
%
47
8/27/2026
Banco Santander SA
413,756
3.7
%
3.77
%
14
7/20/2026
Daiwa Securities America Inc.
407,688
3.7
%
3.81
%
67
9/23/2026
Clear Street LLC
407,554
3.7
%
3.76
%
17
7/20/2026
Goldman, Sachs & Co
395,928
3.6
%
3.76
%
27
7/27/2026
Bank of Montreal
376,058
3.4
%
3.76
%
15
7/15/2026
ING Financial Markets LLC
370,344
3.3
%
3.80
%
13
7/13/2026
Brean Capital, LLC
299,159
2.7
%
3.76
%
21
7/27/2026
Mirae Asset Securities (USA) Inc.
296,573
2.7
%
3.79
%
47
8/24/2026
MUFG Securities Canada, Ltd.
268,537
2.4
%
3.75
%
30
8/4/2026
Morgan Stanley & Co. LLC
260,567
2.4
%
3.74
%
9
7/15/2026
Merrill Lynch, Pierce, Fenner & Smith
252,699
2.3
%
3.78
%
26
7/27/2026
Mitsubishi UFJ Securities (USA), Inc.
239,196
2.2
%
3.77
%
22
7/22/2026
TD Securities (USA) LLC
219,140
2.0
%
3.78
%
42
8/11/2026
Nomura Securities International, Inc.
212,865
1.9
%
3.76
%
40
8/14/2026
Mizuho Securities USA LLC
182,067
1.6
%
3.77
%
15
7/15/2026
Natixis, New York Branch
137,685
1.2
%
3.76
%
19
7/24/2026
BNP Paribas Securities Corp.
135,654
1.2
%
3.78
%
41
8/10/2026
Lucid Prime Fund, LLC
30,438
0.3
%
3.75
%
16
7/16/2026
Canyon Partners, LLC
23,899
0.2
%
3.71
%
17
7/17/2026
Mesirow Financial, Inc.
21,243
0.2
%
3.75
%
16
7/16/2026
Total Borrowings
$
11,086,915
100.0
%
3.77
%
33
11/13/2026
Contact:
Orchid Island Capital, Inc.
Robert E. Cauley
3305 Flamingo Drive, Vero Beach, Florida 32963
Telephone: (772) 231-1400
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Document And Entity Information
Jul. 13, 2026
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Boolean flag that is true when the Form 8-K filing is intended to satisfy the filing obligation of the registrant as pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act.
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Boolean flag that is true when the Form 8-K filing is intended to satisfy the filing obligation of the registrant as pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act.
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Reference 1: http://www.xbrl.org/2003/role/presentationRef
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Name of the Exchange on which a security is registered.
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Reference 1: http://www.xbrl.org/2003/role/presentationRef
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Boolean flag that is true when the Form 8-K filing is intended to satisfy the filing obligation of the registrant as soliciting material pursuant to Rule 14a-12 under the Exchange Act.
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Boolean flag that is true when the Form 8-K filing is intended to satisfy the filing obligation of the registrant as written communications pursuant to Rule 425 under the Securities Act.
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