Granite Point Mortgage Trust Inc. | REIT Profile

Symbol: GPMT
CIK: 1703644
Exchange: NYSE
Founded: 2015 (11 years)
HQ: New York, NY, United States
Type of REIT: Mortgage REIT
Listing Status: Public
Market Capitalization: Micro-Cap
REIT Sector: Mortgage
REITRating™ Score: 2.4

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See GPMT on SEC.gov

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About Granite Point Mortgage Trust Inc.

Granite Point Mortgage Trust focuses primarily on directly originating, investing in and managing senior floating-rate commercial mortgage loans and other debt and debt-like commercial real estate investments. We are a long-term, fundamental value-oriented investor. We construct our investment portfolio on a loan-by-loan basis, emphasizing rigorous credit underwriting, selectivity and diversification, and assess each investment from a fundamental value perspective relative to other opportunities available in the market.


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Dividend of Trading Day 2026-05-12


Dividend Yield: 13.6%*
Annualized Dividend: $0.2*
Dividend Yield (TTM): 15%
Annualized Dividend (TTM): $0.2
Ex-Dividend Date: 2026-04-01
Dividend Date: 2026-04-15
Dividend Frequency: Quarterly

*The forward annualized dividend and dividend yield are based on the most recent dividend value paid by the REIT. The REIT may have already announced their next upcoming dividend value, which may be different from previously paid dividend value. It is recommended to check the REIT's website and dividend announcements for the latest information on upcoming dividends and changes. This graph does not include extraordinary dividend.

Latest REIT Press Releases


See more Press Releases for Granite Point Mortgage Trust Inc.

Key Stats of Trading Day 2026-05-12


Market Capitalization: $68,046,000 [?]
EBITDA: N/A [?]
P/E (Price-to-Earnings) Ratio: N/A [?]
PEG (Price/Earnings to Growth) Ratio: N/A [?]
Book Value: 11.62 [?]
Dividend Per Share (DPS): $0.20 [?]
Earnings Per Share (EPS): -1.07 [?]
Revenue Per Share (TTM): $0.22 [?]
Profit Margin: N/A [?]
Operating Margin (TTM): -29.30% [?]
Return on Assets (TTM): -2.05% [?]
Return on Equity (TTM): -6.40% [?]
Revenue (TTM): $10,273,000 [?]
Gross Profit (TTM): $6,957,000 [?]
Diluted EPS (TTM): $-1.07 [?]
Quarterly Earnings Growth YOY: -95.80% [?]
Quarterly Revenue Growth YOY: 92.80% [?]
Trailing P/E: N/A [?]
Forward P/E: 47.62 [?]
Beta: 1.66 [?]
Price-to-Sales Ratio (TTM): 6.62 [?]
Price-to-Book (P/B): 0.13 [?]
Enterprise Value (EV) to Revenue: 15.64 [?]
EV to EBITDA: 13.47x [?]
Shares Outstanding: 47,919,600 [?]
52 Week High: $2.90 [?]
52 Week Low: $1.24 [?]
50 Day Moving Average: $1.52 [?]
200 Day Moving Average: $2.32 [?]

REIT Simulation


Below is a simulation of how much money you would have made in dividends, and how much the shares would be worth had you purchased them 1 year ago for the amounts below.

With $1,000 USD With $500 USD With $250 USD With $100 USD With $50 USD
Initial investment @ $2.27 per share you would have been able to buy 440 shares of GPMT on 2025-05-12 costing $998.80 @ $2.27 per share you would have been able to buy 220 shares of GPMT on 2025-05-12 costing $499.40 @ $2.27 per share you would have been able to buy 110 shares of GPMT on 2025-05-12 costing $249.70 @ $2.27 per share you would have been able to buy 44 shares of GPMT on 2025-05-12 costing $99.88 @ $2.27 per share you would have been able to buy 22 shares of GPMT on 2025-05-12 costing $49.94
Current worth On 2026-05-12 these 440 shares would be worth $585.20 @ $1.33 On 2026-05-12 these 220 shares would be worth $292.60 @ $1.33 On 2026-05-12 these 110 shares would be worth $146.30 @ $1.33 On 2026-05-12 these 44 shares would be worth $58.52 @ $1.33 On 2026-05-12 these 22 shares would be worth $29.26 @ $1.33
Dividends earned $88.00 in dividends would have been earned since 2025-05-12 with 440 shares. $44 in dividends would have been earned since 2025-05-12 with 220 shares. $22.00 in dividends would have been earned since 2025-05-12 with 110 shares. $8.80 in dividends would have been earned since 2025-05-12 with 44 shares. $4.40 in dividends would have been earned since 2025-05-12 with 220 shares.
Net (gain / loss)* -325.60 USD -162.80 USD -81.40 USD -32.56 USD -16.28 USD
ROI** -32.60% -32.60% -32.60% -32.60% -32.60%

*Net (Gains/Loss): Includes the stock price (appreciate or depreciate ) + dividends earned during period held. Stock prices based on closing price for the date. **ROI: Is based on the Net (gain/loss) divided by the initial investment value. Note: Past performance is no guarantee of future results. This is a high-level simulation and does not account for many factors such as inflation and taxes so we cannot guarantee the accuracy of this simulation.

Dividend History


Below are the most recent cash dividends paid by GPMT. The percent difference from one dividend payment to the next has also been calculated for your convenience. Dividends flagged as [E] are extraordinary dividend payments.


Symbol Ex Date Cash Amount Change in Dividend Declaration Date Record Date Payment Date
GPMT 2026-04-01 0.050 --- 2026-03-13 2026-04-01 2026-04-15
GPMT 2025-12-30 0.050 --- 2025-12-17 2025-12-30 2026-01-15
GPMT 2025-10-01 0.050 --- 2025-09-17 2025-10-01 2025-10-15
GPMT 2025-07-01 0.050 --- 2025-06-17 2025-07-01 2025-07-15
GPMT 2025-04-01 0.050 --- 2025-03-13 2025-04-01 2025-04-15
GPMT 2024-12-31 0.050 --- 2024-12-19 2024-12-31 2025-01-15
GPMT 2024-10-01 0.050 --- 2024-09-20 2024-10-01 2024-10-15
GPMT 2024-07-01 0.050 -66.67% 2024-06-18 2024-07-01 2024-07-15
GPMT 2024-03-28 0.150 -25.00% 2024-03-14 2024-04-01 2024-04-15
GPMT 2023-12-28 0.200 --- 2023-12-19 2023-12-29 2024-01-16
GPMT 2023-09-29 0.200 --- 2023-09-20 2023-10-02 2023-10-16
GPMT 2023-06-30 0.200 --- 2023-06-22 2023-07-03 2023-07-17

Financial Statements Overview


Balance Sheet | Quarterly


Assets 2026-03-31 2025-12-31 QoQ
Current Assets
  Cash and Cash Equivalents at Carrying Value 43,555,000 80,066,000
  Short-Term Investments 0 0
  Cash and Short Term Investments 43,555,000 80,066,000
  Current Net Receivables 6,978,000 7,594,000
  Inventory 0 0
  Other Current Assets 0 0
  Total Current Assets 50,533,000 73,552,000 -31.3%
Non-Current Assets
  Property Plant Equipment 0 0
  Accumulated Depreciation Amortization PPE 0 0
  Long-Term Investments 0 0
  Investments 0 0
  Intangible Assets Excluding Goodwill 0 0
  Goodwill 0 0
  Intangible Assets 0 0
  Other Non-Current Assets 0 0
  Total Non-Current Assets 0 0 0.0%
  Total Assets 1,542,477,000 1,755,224,000 -12.1%
Liabilities
Current Liabilities
  Current Accounts Payable 0 0
  Deferred Revenue 0 0
  Current Debt 0 0
  Short-Term Debt 0 439,173,000
  Current Long-Term Debt 0 0
  Short Long-Term Debt Total 0 1,154,475,000
  Other Current Liabilities 0 6,164,000
  Total Current Liabilities 0 445,337,000 -100.0%
Non-Current Liabilities
  Long-Term Debt Noncurrent 0 0
  Long-Term Debt 0 0
  Capital Lease Obligations 0 0
  Other Non-Current Liabilities 0 0
  Total Non-Current Liabilities 998,609,000 1,184,866,000
  Total Liabilities 998,609,000 1,202,412,000 -16.9%
Shareholders' Equity
  Common Stock 479,000 476,000
  Common Stock Shares Outstanding 47,673,711 47,406,719
  Treasury Stock 0 0
  Retained Earnings 0 -643,150,000
  Total Shareholder Equity 543,743,000 552,687,000 -1.6%

Amounts in USD ($)

Income Statement | Quarterly


2026-03-31 2025-12-31 QoQ
Total Revenue 26,043,000 32,150,000 -19.0%
  Cost of Revenue   4,445,000   6,445,000
  Cost of Goods and Services Sold   4,445,000   6,445,000
Gross Profit 21,598,000 25,705,000 -16.0%
  Research and Development   0   0
  Selling General and Administrative   0   0
  Depreciation   0   0
  Depreciation and Amortization   0   0
  Operating Expenses   0   21,147,000
Operating Income 0 4,558,000 -100.0%
  EBIT (Earnings Before Interest and Tax)   0   0
  Investment Income Net   0   0
  Net Interest Income   0   0
  Interest Income   0   0
  Interest Expense   18,025,000   21,596,000
  Interest and Debt Expense   0   0
  Non Interest Income   0   0
  Other Non Operating Income   0   0
Income Before Tax -2,427,000 -23,791,000 -89.8%
  Income Tax Expense -1,000 18,000
Net Income from Continuing Operations 0 0
Net Income -6,027,000 -23,809,000 -74.7%
Comprehensive Income Net of Tax 0 0
EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) 0 -2,195,000

Amounts in USD ($)

Cash Flow | Quarterly


Cash Flows from Operating Activities 2026-03-31 2025-12-31 QoQ
  Net Income -2,426,000 -23,809,000 -89.8%
  Depreciation, Depletion, and Amortization 778,000 0
  Change in Receivables 0 0
  Change in Inventory 0 0
  Change in Operating Assets 0 0
  Change in Operating Liabilities 0 0
  Payments for Operating Activities 0 0
  Proceeds from Operating Activities 0 0
  Profit Loss 0 0
  Net Cash Provided by Operating Activities -2,408,000 0 0.0%
Cash Flows from Investing Activities
  Capital Expenditures 0 0
  Net Cash Used in Investing Activities 173,625,000 0
Cash Flows from Financing Activities
  Proceeds from Issuance of Common Stock 0 0
  Proceeds from Issuance of Preferred Stock 0 0
  Proceeds from Issuance of Long-Term Debt 0 0
  Proceeds from Repurchase of Equity -306,000 0
  Proceeds from Sale of Treasury Stock 0 0
  Repayment of Short-Term Debt 0 0
  Payments for Repurchase of Common Stock 0 0
  Payments for Repurchase of Preferred Stock 0 0
  Payments for Repurchase of Equity 0 0
  Dividend Payout 3,600,000 0
  Dividend Payout - Common Stock 3,600,000 0
  Dividend Payout - Preferred Stock 0 0
  Net Cash Provided by Financing Activities -207,129,000 -73,903,000 180.3%
Other Items
  Effect of Exchange Rate on Cash 0 0
  Net Increase in Cash and Cash Equivalents 0 0

Amounts in USD ($)

REITRating™ Scorecard

Compare with other REITs | See the complete trend

Rating Dividend Section Avg. Rating
0 Dividend Payment Growth: Analysis of how the REIT’s dividend payments have performed during the last three years. 4.2
9 Dividend Payment Consistency: Analysis of how many periods the REIT’s dividends have been paid consistently without a gap in payment. 8.1
Rating AFFO & Efficiency Section Avg. Rating
Rating Leverage Section Avg. Rating
4 Debt Leverage Health: Analysis of the REIT’s Total Debt to Total Assets. 5.1
8 Debt Leverage Health Trend: Analysis of the REIT’s Total Debt to Total Assets over the last two years. 6.6
Rating Asset & Revenue Section Avg. Rating
10 Revenues Growth: Analysis of how the REIT's Revenue has performed over the last two years. 6.6
2 Total Asset Growth: Analysis of how the REIT has grown its Total Assets over the last two years. 6.1
Rating Properties Section Avg. Rating
Rating Market Cap Section Avg. Rating
2 Market Cap Strength: Analysis of the REIT's Market Capitalization performance, preservation and resistance in comparison to market changes. 5.3
2.4 Overall REITRating™ Score (See trend) 5.1

REITRating is REITNote's Real Estate Investment Trust industry-specific rating and ranking system. The REIT’s score for each analysis is out of ten points, with ten being the best score and zero being the worst. A score of zero can be assigned if the REIT does not meet the criteria for that specific analysis. N/A is assigned if insufficient data is available for a particular analysis. Our REITRating logic is continuously improving, so a REIT’s rating and ranking may change over time. Important Note: REITRating is not a predictor of a REIT’s future performance, it is an evaluation of its past results. Additionally, the REITRating system is for informational purposes only and does not represent financial or investment advice or a recommendation of which REITs to acquire. Learn more.

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Last updated: 2026-05-12 - v7.1.2