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18.60 USD
Yield
5.54%
Safety Score
25
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Dividend
Dividend Yield5.54%
Annual dividends1.03 USD
Ex-Div. DateJune 29, 2022
Payout0.26%

DCF Valuation

Tweak assumptions to recompute fair value for America First Multifamily Investors, L.P. (ATAX)
Currency: USD
DCF Assumptions
Decimal (e.g., 0.10 = 10%). Range allows declines (−50%) to strong growth (+50%).
Decimal (e.g., 0.30 = 30%).
Decimal (e.g., 0.04 = 4%).
Decimal (e.g., 0.20 = 20%).
Percent number (e.g., 3 = 3%).
Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

America First Multifamily Investors, L.P. Logo America First Multifamily Investors, L.P. Analysis (ATAX)

United States Financials Official Website Stock

Is America First Multifamily Investors, L.P. a good investment? America First Multifamily Investors, L.P. (ATAX) is currently trading at 18.60 USD.

For income investors, America First Multifamily Investors, L.P. pays a dividend yield of 5.54%. With a payout ratio of 0%, the dividend appears sustainable.

Investor FAQ

Does America First Multifamily Investors, L.P. pay a dividend?

Yes, it pays an annual dividend of 1.03 USD (5.54% yield).

What asset class is America First Multifamily Investors, L.P.?

America First Multifamily Investors, L.P. is classified as a Stock. You can compare it against 2 other assets in the "Related Symbols" list on this page.

Company Profile

America First Multifamily Investors, L.P. acquires, holds, sells, and deals in a portfolio of mortgage revenue bonds (MRBs) that are issued to provide construction and/or permanent financing for multifamily and student housing, and residential and commercial properties. It operates through five segments: Affordable Multifamily MRB Investments, Seniors and Skilled Nursing MRB Investments, MF Properties, Market-Rate Joint Venture Investments, and Public Housing Capital Fund Trusts. As of December 31, 2021, the company owned 74 MRBs issued by state and local housing authorities in order to provide construction or permanent financing for 76 multifamily and seniors housing properties comprising a total of 12,584 rental units located in 17 states; and nine governmental issuer loans related to affordable multifamily properties containing a total of 1,832 rental units located in six states in the United States. America First Capital Associates Limited Partnership Two serves as the general partner of the company. America First Multifamily Investors, L.P. was incorporated in 1998 and is based in Omaha, Nebraska.

Exchange Ticker
ASE (United States) GHI
NMS (United States) ATAX
Trades
Dividend Yield
5.54%
Annual Dividends
1.03USD
Next Ex. Div Date
June 29, 2022
Payout Ratio
0.26%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2022
0.59 USD
July 29, 2022 0.3700
April 29, 2022 0.1100
Jan. 31, 2022 0.1100
2021
0.37 USD
Oct. 29, 2021 0.1100
July 30, 2021 0.1100
April 30, 2021 0.0900
Jan. 29, 2021 0.0600
2020
0.37 USD
Oct. 30, 2020 0.0600
July 31, 2020 0.0600
April 30, 2020 0.1250
Jan. 31, 2020 0.1250
2019
0.50 USD
Oct. 31, 2019 0.1250
July 31, 2019 0.1250
April 30, 2019 0.1250
Jan. 31, 2019 0.1250
2018
0.50 USD
Oct. 31, 2018 0.1250
July 31, 2018 0.1250
April 30, 2018 0.1250
Jan. 31, 2018 0.1250
2017
0.50 USD
Oct. 31, 2017 0.1250
July 31, 2017 0.1250
April 28, 2017 0.1250
Jan. 30, 2017 0.1250
2016
0.50 USD
Oct. 31, 2016 0.1250
July 29, 2016 0.1250
April 29, 2016 0.1250
Jan. 29, 2016 0.1250
2015
0.50 USD
Oct. 30, 2015 0.1250
July 31, 2015 0.1250
April 30, 2015 0.1250
Jan. 30, 2015 0.1250
2014
0.50 USD
Oct. 31, 2014 0.1250
July 31, 2014 0.1250
April 30, 2014 0.1250
Jan. 31, 2014 0.1250
2013
0.50 USD
Oct. 31, 2013 0.1250
July 31, 2013 0.1250
April 30, 2013 0.1250
Jan. 31, 2013 0.1250
2012
0.50 USD
Oct. 31, 2012 0.1250
July 31, 2012 0.1250
April 30, 2012 0.1250
Jan. 31, 2012 0.1250
2011
0.50 USD
Oct. 31, 2011 0.1250
July 29, 2011 0.1250
April 29, 2011 0.1250
Jan. 31, 2011 0.1250
2010
0.50 USD
Oct. 29, 2010 0.1250
July 30, 2010 0.1250
April 30, 2010 0.1250
Jan. 29, 2010 0.1250
2009
0.52 USD
Oct. 30, 2009 0.1250
July 31, 2009 0.1250
April 30, 2009 0.1350
Jan. 30, 2009 0.1350
2008
0.54 USD
Oct. 31, 2008 0.1350
July 31, 2008 0.1350
April 30, 2008 0.1350
Jan. 31, 2008 0.1350
2007
0.54 USD
Oct. 31, 2007 0.1350
July 31, 2007 0.1350
April 30, 2007 0.1350
Jan. 31, 2007 0.1350
2006
0.54 USD
Oct. 31, 2006 0.1350
July 31, 2006 0.1350
May 1, 2006 0.1350
Jan. 31, 2006 0.1350
2005
0.54 USD
Oct. 31, 2005 0.1350
July 29, 2005 0.1350
April 29, 2005 0.1350
Jan. 31, 2005 0.1350
2004
0.54 USD
Oct. 29, 2004 0.1350
July 30, 2004 0.1350
April 30, 2004 0.1350
Jan. 30, 2004 0.1350
2003
0.54 USD
Oct. 31, 2003 0.1350
July 31, 2003 0.1350
April 30, 2003 0.1350
Feb. 17, 2003 0.1350
2002
0.54 USD
Nov. 15, 2002 0.1350
Aug. 15, 2002 0.1350
May 15, 2002 0.1350
Feb. 15, 2002 0.1350
2001
0.54 USD
Nov. 15, 2001 0.1350
Aug. 15, 2001 0.1350
May 15, 2001 0.1350
Feb. 15, 2001 0.1350
2000
0.41 USD
Nov. 15, 2000 0.1350
Aug. 15, 2000 0.1350
May 1, 2000 0.1350
1999
0.54 USD
Dec. 27, 1999 0.0450
Nov. 26, 1999 0.0450
Oct. 25, 1999 0.0450
Sept. 27, 1999 0.0450
Aug. 25, 1999 0.0450
July 26, 1999 0.0450
June 25, 1999 0.0450
May 25, 1999 0.0450
April 26, 1999 0.0450
March 25, 1999 0.0450
Feb. 25, 1999 0.0450
Jan. 25, 1999 0.0450
1998
0.54 USD
Dec. 28, 1998 0.0450
Nov. 25, 1998 0.0450
Oct. 26, 1998 0.0450
Sept. 25, 1998 0.0450
Aug. 25, 1998 0.0450
July 27, 1998 0.0450
June 25, 1998 0.0450
May 26, 1998 0.0450
April 27, 1998 0.0450
March 25, 1998 0.0450
Feb. 25, 1998 0.0450
Jan. 26, 1998 0.0450
1997
0.54 USD
Dec. 26, 1997 0.0450
Nov. 25, 1997 0.0450
Oct. 27, 1997 0.0450
Sept. 25, 1997 0.0450
Aug. 25, 1997 0.0450
July 25, 1997 0.0450
June 25, 1997 0.0450
May 27, 1997 0.0450
April 25, 1997 0.0450
March 25, 1997 0.0450
Feb. 25, 1997 0.0450
Jan. 27, 1997 0.0450
1996
0.27 USD
Dec. 26, 1996 0.0450
Nov. 25, 1996 0.0450
Oct. 25, 1996 0.0450
Sept. 25, 1996 0.0450
Aug. 26, 1996 0.0450
July 25, 1996 0.0450
1995
0.05 USD
Dec. 26, 1995 0.0450
1992
0.08 USD
Oct. 26, 1992 0.0840
1990
0.51 USD
Dec. 26, 1990 0.0481
Nov. 26, 1990 0.0292
Oct. 25, 1990 0.0840
Sept. 25, 1990 0.0279
Aug. 27, 1990 0.0389
July 25, 1990 0.0488
June 25, 1990 0.0339
May 25, 1990 0.0373
April 25, 1990 0.0419
March 26, 1990 0.0463
Feb. 26, 1990 0.0332
Jan. 25, 1990 0.0380
1989
0.99 USD
Dec. 26, 1989 0.1320
Nov. 27, 1989 0.0746
Oct. 25, 1989 0.0630
Sept. 25, 1989 0.0648
Aug. 25, 1989 0.0690
July 25, 1989 0.0575
June 26, 1989 0.0752
May 25, 1989 0.0815
April 25, 1989 0.0809
March 27, 1989 0.1060
Feb. 27, 1989 0.1060
Jan. 25, 1989 0.0751
1988
0.97 USD
Dec. 27, 1988 0.0769
Nov. 25, 1988 0.0859
Oct. 25, 1988 0.0854
Sept. 26, 1988 0.0671
Aug. 25, 1988 0.0860
July 25, 1988 0.0629
June 27, 1988 0.0777
May 25, 1988 0.0774
April 25, 1988 0.0754
March 25, 1988 0.0686
Feb. 25, 1988 0.1095
Jan. 25, 1988 0.0932
1987
0.65 USD
Dec. 28, 1987 0.0086
Nov. 25, 1987 0.0059
Oct. 26, 1987 0.0081
Sept. 25, 1987 0.0038
Aug. 25, 1987 0.0063
July 27, 1987 0.1390
June 25, 1987 0.0043
May 26, 1987 0.0130
March 25, 1987 0.1420
Feb. 25, 1987 0.1770
Jan. 26, 1987 0.1420
Stock Splits
Split Date Split Ratio to 1
June 3, 1993 1.25
April 4, 2022 0.33
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