TWO HARBORS INVESTMENT CORP (TWO)
NYSE • Real Estate
Last close at July 24, 2026 at 20:00 UTC
Fundamentals Charts
About TWO HARBORS INVESTMENT CORP
Two Harbors Investment Corp. is a New York Stock Exchange-listed real estate finance company focused on mortgage REIT investing under ticker TWO. It acquires and manages U.S. mortgage-related assets, chiefly residential mortgage-backed securities and mortgage servicing rights, and generated $605.6 million of revenue in FY2025.
Analyst Ratings
Fundamentals & Financials
TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.
Income Statement
Balance Sheet
Financial Highlights
Dividends History
Split History
Earnings Calendar
Technical Indicators
TWO HARBORS INVESTMENT CORP's Technical Indicators Summary
TWO is showing signs of distribution: ADX around 27 indicates modest trend strength with a bearish tilt, while momentum is mixed — MACD is slightly negative and RSI sits in the low‑40s, suggesting limited upside. The price is essentially at the short‑term averages and sits just above the classic pivot near twelve, and it remains above the 200‑day average, so longer‑term support exists. Low ATR points to muted volatility and a negative OBV signals heavier volume on down days, which reinforces the sell bias. Technical takeaway: Sell.
| Indicator | Value |
|---|---|
RSI (14) | 42.12 |
Stochastic %K (14, 3, 3) | 69.05 |
CCI (20) | -32.95 |
WPR (14) | -28.57 |
Momentum (10) | 0.02 |
MFI | 42.47 |
MACD Level (12, 26) | -0.04 |
Bollinger Bands | $11.89 - $12.41 |
ATR (14) | $0.07 (0.54%) |
ADX (14) | 27.40 |
OBV | 33,196,064 |
Classic Pivot Point | $12.08 |
Fibonacci Pivot Point | $12.08 |
Simple Moving Averages | $11.15 - $12.30(5 indicators) |
Exponential Moving Averages | $11.26 - $12.14(5 indicators) |
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Today's Snapshot
The day concluded with TWO hovering close to the prior 12.09, holding a tiny 0.08% gap. The day closed with TWO still facing an upcoming earnings catalyst in 3 days on 27 July. By the close, sector strength was clear, with a 2.22% gain underpinning risk appetite.
Trading Volume
Above 10d avg 1.9M
2M
vs S&P 500 Today
Moderate Outperformance
+0.17%
52-Week Position
Mid-range
61.6%
Updated: July 24, 2026 at 20:53 UTC