RSF - RiverNorth Marketplace Lending Corporation

NYSE - Nasdaq Real Time Price. Currency in USD
18.20
-0.03 (-0.16%)
At close: 3:59PM EST
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Previous Close18.23
Open18.20
Bid18.20 x 1000
Ask18.29 x 900
Day's Range18.20 - 18.28
52 Week Range18.00 - 21.05
Volume9,029
Avg. Volume14,670
Market Cap120.589M
Beta (5Y Monthly)N/A
PE Ratio (TTM)N/A
EPS (TTM)N/A
Earnings DateN/A
Forward Dividend & Yield2.16 (11.72%)
Ex-Dividend DateFeb 11, 2020
1y Target EstN/A
  • Business Wire

    RiverNorth Marketplace Lending Corporation Announces Final Results of Repurchase Offer

    RiverNorth Marketplace Lending Corporation (the "Fund") (NYSE: RSF) announced the final results of its repurchase offer for up to 5%, or 330,914 of its outstanding common shares. The repurchase offer expired at 5:00 P.M. Eastern Time on January 8, 2020.

  • Business Wire

    RiverNorth Marketplace Lending Corporation Declares Monthly Distributions of $0.18 Per Share

    RiverNorth Marketplace Lending Corporation (the "Fund") (NYSE: RSF) announced the declaration of monthly distributions of $0.18 per common share for the months of January, February and March 2020, payable on the dates noted below. In accordance with the level distribution policy, the rate has been set equal to 10% of the Fund’s common shares’ net asset value (NAV) as of the last business day of the Fund’s fiscal year, June 28, 2019, $21.45. Based on the Fund’s current NAV per share of $20.15 (as of market close December 31, 2019), the distributions represent an annualized distribution rate of 10.72%. Based on the Fund’s current market price per share of $18.22 the annualized market price distribution rate is 11.86%.

  • Business Wire

    RiverNorth Marketplace Lending Corporation Declares Monthly Distribution of $0.18 Per Share

    RiverNorth Marketplace Lending Corporation (the “Fund”) (NYSE: RSF) announced the declaration of a monthly distribution of $0.18 per common share for the months of October, November, and December 2019. The distribution is subject to the following ex-distribution, record and payable dates below set by the Fund’s Board of Directors (the “Board”). In accordance with the level distribution policy, the annualized distribution rate has been set equal to 10% of the Fund’s common shares’ net asset value (NAV) as of the last business day of the Fund’s fiscal year, June 28, 2019, $21.45.