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- Leading Diversified Capital Manager | Annaly Capital
Annaly is an industry leader with a differentiated model composed of diversified investment strategies on balance sheet Proven over 25 years, we utilize the power of Annaly’s capital to generate attractive, stable returns throughout market cycles and support the American homeowner
- Investors | Annaly Capital
Annaly is the proven industry leader across residential mortgage finance Annaly works to generate net income for stockholders via a diverse range of investments, and prudent management of its portfolio
- Who We Are | Annaly Capital
Annaly is a leading capital manager whose principal objective is to generate net income for distribution to stockholders and to preserve capital through prudent selection and continuous management of its portfolio
- What We Do | Annaly Capital
Diversification is a pillar of the Annaly strategy Since 2010, we have diversified our business model by investing in credit assets directly on balance sheet, complementing our primary portfolio of interest rate sensitive investments
- Investors-Dividends | Annaly Capital | Annaly Capital
A list of Annaly's preferred shares*There is no guarantee that the same or similar level of dividends will be paid in the future or at all
- Why Annaly | Annaly Capital
Annaly’s deep and diverse financing sources across all investment groups provide the Company with unique competitive advantages Our range of financing alternatives includes traditional repo, warehouse lines and financing through our own broker dealer
- History | Annaly Capital
Annaly Capital Management, Inc (“Annaly”) was founded in 1996 out of the collaboration of a handful of forward-thinking entrepreneurs, including Michael A J Farrell and Wellington J Denahan
- Annaly Capital Management, Inc. Increases 1st Quarter 2025 Common Stock . . .
Annaly is a leading diversified capital manager with investment strategies across mortgage finance Annaly’s principal business objective is to generate net income for distribution to its stockholders and to optimize its returns through prudent management of its diversified investment strategies
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