NEW YORK, Jan. 29, 2021 (GLOBE NEWSWIRE) -- New York Mortgage Trust, Inc. (Nasdaq: NYMT) (“NYMT” or the “Company”) today announced the following tax treatment of common and preferred stock dividends declared in 2020. This information is provided to assist stockholders with tax reporting requirements related to dividend distributions of taxable income by the Company.
Stockholders should review the 2020 tax statements received from their brokerage firms or other institutions to ensure that the statements agree with the information provided below. Also, as each stockholder's tax situation may be different, stockholders are encouraged to consult with their own professional tax advisor with respect to their specific tax treatment of the Company's dividend distributions.
The Company's dividend distributions per share of common stock (CUSIP #649604501) are to be classified for income tax purposes as follows:
Declaration
Date |
Record
Date |
Payment
Date |
2020 Distribution
Per Share |
Box 1a |
Box 1b |
Box 2a |
Box 2b |
Box 3 |
Box 5 |
2020
Ordinary
Dividend |
2020
Qualified
Dividend |
2020
Capital
Gain
Distribution |
2020
Unrecaptured
Section 1250
Gain |
2020
Non
Dividend
Distributions |
2020
199A
Dividends 1 |
6/15/2020 |
7/1/2020 |
7/27/2020 |
$0.050000 |
$0.039906 |
- |
- |
- |
$0.010094 |
$0.039906 |
9/14/2020 |
9/24/2020 |
10/26/2020 |
$0.075000 |
$0.059859 |
- |
- |
- |
$0.015141 |
$0.059859 |
12/7/2020 |
12/17/2020 |
1/25/2021 |
$0.100000 |
$0.079813 |
- |
- |
- |
$0.020187 |
$0.079813 |
Totals |
$ 0.225000 |
$ 0.179578 |
- |
- |
- |
$ 0.045422 |
$ 0.179578 |
The Company's dividend distributions per share of 7.750% Series B Cumulative Redeemable Preferred Stock (CUSIP #649604709) are to be classified for income tax purposes as follows:
|
|
|
|
Box 1a |
Box 1b |
Box 2a |
Box 2b |
Box 3 |
Box 5 |
Declaration
Date |
Record
Date |
Payment
Date |
2020 Distribution
Per Share |
2020
Ordinary
Dividend |
2020
Qualified
Dividend |
2020
Capital
Gain
Distribution |
2020
Unrecaptured
Section 1250
Gain |
2020
Non
Dividend
Distributions |
2020
199A
Dividends 1 |
12/10/2019 |
1/1/2020 |
1/15/2020 |
$0.484375 |
$0.484375 |
- |
- |
- |
- |
$0.484375 |
6/15/2020 |
7/1/2020 |
7/15/2020 |
$0.968750 |
$0.968750 |
- |
- |
- |
- |
$0.968750 |
9/14/2020 |
10/1/2020 |
10/15/2020 |
$0.484375 |
$0.484375 |
- |
- |
- |
- |
$0.484375 |
Totals |
$ 1.937500 |
$ 1.937500 |
- |
- |
- |
- |
$ 1.937500 |
The Company's dividend distributions per share of 7.875% Series C Cumulative Redeemable Preferred Stock (CUSIP #649604808) are to be classified for income tax purposes as follows:
Declaration
Date |
Record
Date |
Payment
Date |
2020 Distribution
Per Share |
Box 1a |
Box 1b |
Box 2a |
Box 2b |
Box 3 |
Box 5 |
2020
Ordinary
Dividend |
2020
Qualified
Dividend |
2020
Capital
Gain
Distribution |
2020
Unrecaptured
Section 1250
Gain |
2020
Non
Dividend
Distributions |
2020
199A
Dividends 1 |
12/10/2019 |
1/1/2020 |
1/15/2020 |
$0.492187 |
$0.492187 |
- |
- |
- |
- |
$0.492187 |
6/15/2020 |
7/1/2020 |
7/15/2020 |
$0.984375 |
$0.984375 |
- |
- |
- |
- |
$0.984375 |
9/14/2020 |
10/1/2020 |
10/15/2020 |
$0.492188 |
$0.492188 |
- |
- |
- |
- |
$0.492188 |
Totals |
$ 1.968750 |
$ 1.968750 |
- |
- |
- |
- |
$ 1.968750 |
The Company's dividend distributions per share of 8.000% Series D Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock (CUSIP #649604881) are to be classified for income tax purposes as follows:
Declaration
Date |
Record
Date |
Payment
Date |
2020 Distribution
Per Share |
Box 1a |
Box 1b |
Box 2a |
Box 2b |
Box 3 |
Box 5 |
2020
Ordinary
Dividend |
2020
Qualified
Dividend |
2020
Capital
Gain
Distribution |
2020
Unrecaptured
Section 1250
Gain |
2020
Non
Dividend
Distributions |
2020
199A
Dividends 1 |
12/10/2019 |
1/1/2020 |
1/15/2020 |
$0.500000 |
$0.500000 |
- |
- |
- |
- |
$0.500000 |
6/15/2020 |
7/1/2020 |
7/15/2020 |
$1.000000 |
$1.000000 |
- |
- |
- |
- |
$1.000000 |
9/14/2020 |
10/1/2020 |
10/15/2020 |
$0.500000 |
$0.500000 |
- |
- |
- |
- |
$0.500000 |
Totals |
$ 2.000000 |
$ 2.000000 |
- |
- |
- |
- |
$ 2.000000 |
The Company's dividend distributions per share of 7.875% Series E Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock (CUSIP #649604873) are to be classified for income tax purposes as follows:
Declaration
Date |
Record
Date |
Payment
Date |
2020 Distribution
Per Share |
Box 1a |
Box 1b |
Box 2a |
Box 2b |
Box 3 |
Box 5 |
2020
Ordinary
Dividend |
2020
Qualified
Dividend |
2020
Capital
Gain
Distribution |
2020
Unrecaptured
Section 1250
Gain |
2020
Non
Dividend
Distributions |
2020
199A
Dividend 1 |
12/10/2019 |
1/1/2020 |
1/15/2020 |
$0.475780 |
$0.475780 |
- |
- |
- |
- |
$0.475780 |
6/15/2020 |
7/1/2020 |
7/15/2020 |
$0.984375 |
$0.984375 |
- |
- |
- |
- |
$0.984375 |
9/14/2020 |
10/1/2020 |
10/15/2020 |
$0.492188 |
$0.492188 |
- |
- |
- |
- |
$0.492188 |
Totals |
$ 1.952343 |
$ 1.952343 |
- |
- |
- |
- |
$ 1.952343 |
(1) Section 199A Dividends are reported in Box 5 of Form 1099-DIV. Section 199A Dividends are a subset of, and included in, Ordinary Dividends, which are reported in Box 1a of Form 1099-DIV. Section 199A Dividends shows the portion of the Ordinary Dividends in Box 1a that may be eligible for the 20% qualified business income deduction under Section 199A.
New York Mortgage Trust does not provide tax, accounting or legal advice. Any tax statements contained herein were not intended or written to be used, and cannot be used for the purpose of avoiding U.S., federal, state or local tax penalties. Stockholders are encouraged to consult with their personal tax advisors as to their specific tax treatment of the Company’s dividend distributions and the information contained herein.
About New York Mortgage Trust
New York Mortgage Trust, Inc. is a Maryland corporation that has elected to be taxed as a real estate investment trust (“REIT”) for federal income tax purposes. NYMT is an internally managed REIT in the business of acquiring, investing in, financing and managing primarily mortgage-related single-family and multi-family residential assets.
For Further Information
Mari Nitta
Investor Relations Associate
Phone: 646-795-4066
Email: InvestorRelations@nymtrust.com