DigitalBridge Group Inc は1株あたり年間配当金が 0.3686 で、利回りは 2.2622% です。配当金は 四半期ごと に支払われ、最後の除息日は Jan 9, 2026 でした。
配当利回り
年間配当
除権日
2.2622%
$0.3686
Jan 9, 2026
支払い頻度
支払率
四半期ごと
64.18%
配当履歴
除権日
現金額
記録日
支払日
Jan 9, 2026
$0.4453
Jan 9, 2026
Jan 15, 2026
Oct 10, 2025
$0.4453
Oct 10, 2025
Oct 15, 2025
Jul 10, 2025
$0.4453
Jul 10, 2025
Jul 15, 2025
Apr 10, 2025
$0.4453
Apr 10, 2025
Apr 15, 2025
Jan 10, 2025
$0.4453
Jan 10, 2025
Jan 15, 2025
Oct 10, 2024
$0.4453
Oct 10, 2024
Oct 15, 2024
配当チャート
DBRG.PRJ 配当
DBRG.PRJ 配当成長率(年間比)
Follow-Up Questions
DigitalBridge Group Incの現在の配当金と年間配当金はいくらですか?
DigitalBridge Group Incが現在支払う配当金は$0.4453です。DigitalBridge Group Incの年間配当金は$0.3686です。
DigitalBridge Group Incの配当性向は何ですか?
DigitalBridge Group Incの配当性向は64.18%です。
DBRG.PRJの配当落ち日はいつですか?
DigitalBridge Group Incの配当落ち日はJan 9, 2026です。
DigitalBridge Group Incはどのくらいの頻度で配当金を支払いますか?
四半期ごと。DigitalBridge Group Incが最後に配当金を支払ったのはJan 15, 2026です。
主要データ
前終値
$16.73
始値
$16.97
当日レンジ
$16.52 - $16.97
52週レンジ
$6.41 - $16.79
取引高
--
平均取引高
5.9M
配当利回り
2.26%
1株当たり利益(TTM)
0.41
時価総額
$3.0B
DBRG.PRJとは何ですか?
DigitalBridge Group, Inc. is a global alternative asset manager, which engages in investing in digital infrastructure. The company is headquartered in Boca Raton, Florida and currently employs 316 full-time employees. The company went IPO on 2014-06-27. Its investment management platform is anchored by its value-added funds within the DigitalBridge Partners (DBP) infrastructure equity series. Its investment offerings also include core equity, credit and liquid securities. The DBP series of funds focuses on value-added digital infrastructure, investing in and building businesses across the digital infrastructure sector. Core Equity invests in digital infrastructure businesses and assets with long-duration cash flow profiles, primarily in more developed geographies, through its Strategic Assets Fund (SAF). DigitalBridge Credit is a private credit strategy that delivers credit solutions to corporate borrowers in the digital infrastructure sector globally through credit financing products.