STOCK TITAN

[6-K] Dynagas LNG Partners LP Current Report (Foreign Issuer)

Filing Impact
(Low)
Filing Sentiment
(Neutral)
Form Type
6-K
Rhea-AI Filing Summary

Dynagas LNG Partners LP declared a cash distribution of $0.5625 per unit on its Series A Cumulative Redeemable Perpetual Preferred Units for the period from August 12, 2025 to November 11, 2025. The distribution is payable November 12, 2025 to holders of record as of November 4, 2025.

Distributions on the Series A Preferred Units are payable quarterly in arrears on the 12th day of February, May, August, and November, when, as and if declared by the Board. This marks the forty-first sequential cash distribution since the units began trading on the NYSE. The Partnership reports 3,000,000 Series A Preferred Units outstanding as of the date of the announcement.

Dynagas LNG Partners LP ha dichiarato una distribuzione in contanti di $0,5625 per unità sulle Unità Preferite Perpetue Cumulative di Serie A per il periodo dal 12 agosto 2025 al 11 novembre 2025. La distribuzione è pagabile il 12 novembre 2025 agli detentori registrati al 4 novembre 2025.

Le distribuzioni sulle Series A Preferred Units sono pagabili trimestralmente a posteriori il dodicesimo giorno di febbraio, maggio, agosto e novembre, quando e se dichiarate dal Consiglio. Questo segna la quarantunesima distribuzione in contante in ordine sequenziale da quando le unità hanno iniziato a essere negoziate sul NYSE. La Partnership riporta 3.000.000 Unità Preferred Series A in circolazione alla data dell’annuncio.

Dynagas LNG Partners LP anunció una distribución en efectivo de $0.5625 por unidad en sus Unidades Preferentes Series A Cumulativas y Perpetuas para el periodo del 12 de agosto de 2025 al 11 de noviembre de 2025. La distribución es pagadera el 12 de noviembre de 2025 para los tenedores registrados al 4 de noviembre de 2025.

Las distribuciones de las Series A Preferred Units son pagaderas trimestralmente con atraso el día 12 de febrero, mayo, agosto y noviembre, cuando, en la medida y si son declaradas por la Junta. Esto marca la cuarenta y primera distribución secuencial en efectivo desde que las unidades comenzaron a cotizar en la NYSE. La Sociedad reporta 3,000,000 Unidades Preferentes Serie A en circulación a la fecha del anuncio.

Dynagas LNG Partners LPSeries A 누적상환 가능한 영구 우선주에 대해 주당 $0.5625의 현금 분배를 2025년 8월 12일부터 2025년 11월 11일까지의 기간으로 선언했습니다. 분배는 2025년 11월 12일지급될 예정이며, 기록 보유자 명부는 2025년 11월 4일 기준입니다.

Series A 우선주에 대한 분배는 분기별로 착월 지급되며, 이사회가 선언하는 경우에 한해 2월, 5월, 8월, 11월의 12일에 지급됩니다. 이는 단위가 NYSE에서 거래를 시작한 이후 41번째 순차 현금 분배를 나타냅니다. 발표일 현재 3,000,000주 Series A 우선주가 발행 중임을 보고합니다.

Dynagas LNG Partners LP a déclaré une distribution en espèces de $0,5625 par unité sur ses Unités préférentielles pérennes cumulatives de série A pour la période du 12 août 2025 au 11 novembre 2025. La distribution est payable le 12 novembre 2025 aux détenteurs inscrits au 4 novembre 2025.

Les distributions sur les Series A Preferred Units sont payables trimestriellement à l’arriéré le 12 du mois de février, mai, août et novembre, lorsque et si elles sont déclarées par le Conseil. Cela marque la quarante et uneième distribution en espèces séquentielle depuis que les unités ont commencé à être négociées sur le NYSE. La Partenariat rapporte 3 000 000 Series A Preferred Units en circulation à la date de l’annonce.

Dynagas LNG Partners LP hat eine Barkomponente von $0,5625 pro Einheit auf seine Series A kumulative ausstehende perpetual Preferred Units für den Zeitraum vom 12. August 2025 bis zum 11. November 2025 angekündigt. Die Ausschüttung ist am 12. November 2025 an die Inhaber der am 4. November 2025 festgehaltenen Ansässigen zahlbar.

Die Ausschüttungen auf die Series A Preferred Units erfolgen vierteljährlich im Rückstand am 12. Tag der Monate Februar, Mai, August und November, wenn der Vorstand dies deklariert. Dies markiert die einundvierzigste fortlaufende Barkomponente, seit die Einheiten an der NYSE gehandelt werden. Die Partnerschaft meldet 3.000.000 Series A Preferred Units im Umlauf zum Datum der Ankündigung.

Dynagas LNG Partners LP أعلنت عن توزيع نقدي قدره $0.5625 للسهم على وحدات التفضيل الدائمة القابلة للاسترداد من الفئة A للسهم الواحد للفترة من 12 أغسطس 2025 إلى 11 نوفمبر 2025. التوزيع قابل للدفع في 12 نوفمبر 2025 للمساهمين المسجلين حتى 4 نوفمبر 2025.

يتم دفع توزيعات وحدات التفضيل من الفئة A ربع سنوياً وبخلف تاريخ 12 فبراير، 12 مايو، 12 أغسطس، و12 نوفمبر، عندما يقر المجلس ذلك. وهذا يمثل أول توزيع نقدي تسلسلي (41 توزيعاً نقدياً متتالياً) منذ بدء تداول الوحدات في NYSE. وتُعلن الشراكة عن وجود 3,000,000 وحدة تفضيلية من الفئة A قائمة كما في تاريخ الإعلان.

Positive
  • None.
Negative
  • None.

Dynagas LNG Partners LP ha dichiarato una distribuzione in contanti di $0,5625 per unità sulle Unità Preferite Perpetue Cumulative di Serie A per il periodo dal 12 agosto 2025 al 11 novembre 2025. La distribuzione è pagabile il 12 novembre 2025 agli detentori registrati al 4 novembre 2025.

Le distribuzioni sulle Series A Preferred Units sono pagabili trimestralmente a posteriori il dodicesimo giorno di febbraio, maggio, agosto e novembre, quando e se dichiarate dal Consiglio. Questo segna la quarantunesima distribuzione in contante in ordine sequenziale da quando le unità hanno iniziato a essere negoziate sul NYSE. La Partnership riporta 3.000.000 Unità Preferred Series A in circolazione alla data dell’annuncio.

Dynagas LNG Partners LP anunció una distribución en efectivo de $0.5625 por unidad en sus Unidades Preferentes Series A Cumulativas y Perpetuas para el periodo del 12 de agosto de 2025 al 11 de noviembre de 2025. La distribución es pagadera el 12 de noviembre de 2025 para los tenedores registrados al 4 de noviembre de 2025.

Las distribuciones de las Series A Preferred Units son pagaderas trimestralmente con atraso el día 12 de febrero, mayo, agosto y noviembre, cuando, en la medida y si son declaradas por la Junta. Esto marca la cuarenta y primera distribución secuencial en efectivo desde que las unidades comenzaron a cotizar en la NYSE. La Sociedad reporta 3,000,000 Unidades Preferentes Serie A en circulación a la fecha del anuncio.

Dynagas LNG Partners LPSeries A 누적상환 가능한 영구 우선주에 대해 주당 $0.5625의 현금 분배를 2025년 8월 12일부터 2025년 11월 11일까지의 기간으로 선언했습니다. 분배는 2025년 11월 12일지급될 예정이며, 기록 보유자 명부는 2025년 11월 4일 기준입니다.

Series A 우선주에 대한 분배는 분기별로 착월 지급되며, 이사회가 선언하는 경우에 한해 2월, 5월, 8월, 11월의 12일에 지급됩니다. 이는 단위가 NYSE에서 거래를 시작한 이후 41번째 순차 현금 분배를 나타냅니다. 발표일 현재 3,000,000주 Series A 우선주가 발행 중임을 보고합니다.

Dynagas LNG Partners LP a déclaré une distribution en espèces de $0,5625 par unité sur ses Unités préférentielles pérennes cumulatives de série A pour la période du 12 août 2025 au 11 novembre 2025. La distribution est payable le 12 novembre 2025 aux détenteurs inscrits au 4 novembre 2025.

Les distributions sur les Series A Preferred Units sont payables trimestriellement à l’arriéré le 12 du mois de février, mai, août et novembre, lorsque et si elles sont déclarées par le Conseil. Cela marque la quarante et uneième distribution en espèces séquentielle depuis que les unités ont commencé à être négociées sur le NYSE. La Partenariat rapporte 3 000 000 Series A Preferred Units en circulation à la date de l’annonce.

Dynagas LNG Partners LP hat eine Barkomponente von $0,5625 pro Einheit auf seine Series A kumulative ausstehende perpetual Preferred Units für den Zeitraum vom 12. August 2025 bis zum 11. November 2025 angekündigt. Die Ausschüttung ist am 12. November 2025 an die Inhaber der am 4. November 2025 festgehaltenen Ansässigen zahlbar.

Die Ausschüttungen auf die Series A Preferred Units erfolgen vierteljährlich im Rückstand am 12. Tag der Monate Februar, Mai, August und November, wenn der Vorstand dies deklariert. Dies markiert die einundvierzigste fortlaufende Barkomponente, seit die Einheiten an der NYSE gehandelt werden. Die Partnerschaft meldet 3.000.000 Series A Preferred Units im Umlauf zum Datum der Ankündigung.

Dynagas LNG Partners LP أعلنت عن توزيع نقدي قدره $0.5625 للسهم على وحدات التفضيل الدائمة القابلة للاسترداد من الفئة A للسهم الواحد للفترة من 12 أغسطس 2025 إلى 11 نوفمبر 2025. التوزيع قابل للدفع في 12 نوفمبر 2025 للمساهمين المسجلين حتى 4 نوفمبر 2025.

يتم دفع توزيعات وحدات التفضيل من الفئة A ربع سنوياً وبخلف تاريخ 12 فبراير، 12 مايو، 12 أغسطس، و12 نوفمبر، عندما يقر المجلس ذلك. وهذا يمثل أول توزيع نقدي تسلسلي (41 توزيعاً نقدياً متتالياً) منذ بدء تداول الوحدات في NYSE. وتُعلن الشراكة عن وجود 3,000,000 وحدة تفضيلية من الفئة A قائمة كما في تاريخ الإعلان.

Dynagas LNG Partners LP 宣布对其 系列A累计可赎回永久优先股单位 在2025年8月12日至2025年11月11日期间的现金分配为 $0.5625 每单位。分配将于 2025年11月12日发放给截至 2025年11月4日的登记持有人。

关于系列A优先股的分配按季度在事后于每年的2月、5月、8月和11月的第12日支付,前提是董事会宣布。自单位在NYSE开始交易以来,这标志着首个连续的第41次现金分配。本公告日披露的在外流通的 3,000,000 股系列A优先股单位


UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C.  20549


FORM 6-K


REPORT OF FOREIGN PRIVATE ISSUER PURSUANT TO RULE 13A-16 OR 15D-16 OF THE SECURITIES EXCHANGE ACT OF 1934


For the month of October 2025


Commission File Number:  001-36185


Dynagas LNG Partners LP

(Translation of registrant’s name into English)

 

Poseidonos & Foivis 2 Street

16674 Glyfada, Athens, Greece

(Address of principal executive office)


Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F.


Form 20-F [ X ]       Form 40-F [  ]





INFORMATION CONTAINED IN THIS FORM 6-K REPORT

Attached as Exhibit 99.1 to this report on Form 6-K (this “Report”) is a copy of the press release of Dynagas LNG Partners LP (the “Partnership”) dated October 23, 2025: DYNAGAS LNG PARTNERS LP DECLARES CASH DISTRIBUTION ON ITS SERIES A PREFERRED UNITS.  


The information contained in this Report and the exhibit hereto are hereby incorporated by reference into the Partnership’s registration statement on Form F-3 (File No. 333-281195) that has an effective date of November 13, 2024.




 




SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Date: October 24, 2025

 

 

 

 

DYNAGAS LNG PARTNERS LP

 

 

 

 

 

By:

/s/ Tony Lauritzen

 

 

 

Name:

Tony Lauritzen

 

Title:

Chief Executive Officer 


 



Exhibit 99.1

[f102425dlng6k002.gif]


DYNAGAS LNG PARTNERS LP DECLARES CASH DISTRIBUTION ON ITS SERIES


A PREFERRED UNITS


ATHENS – October 23, 2025 - Dynagas LNG Partners LP (the “Partnership”) (NYSE: “DLNG”), an owner and operator of LNG carriers, today announced that its Board of Directors has declared a cash distribution of $0.5625 per unit on its Series A Cumulative Redeemable Perpetual Preferred Units (the “Series A Preferred Units”) (NYSE: DLNG PR A) for the period from August 12, 2025 to November 11, 2025.  


The cash distribution is payable on November 12, 2025 to all preferred unit holders of record as of November 4, 2025.


Distributions on the Series A Preferred Units will be payable quarterly in arrears on the 12th day (unless the 12th falls on a weekend or public holiday, in which case the payment date is moved to the next business day) of February, May, August and November of each year, when, as and if declared by our Board of Directors. This is the forty-first sequential cash distribution on the Series A Preferred Units since they began trading on the NYSE.


The Partnership has 3,000,000 Series A Preferred Units outstanding as of the date of this press release.


About Dynagas LNG Partners LP

Dynagas LNG Partners LP. (NYSE: DLNG) is a master limited partnership which owns and operates liquefied natural gas (LNG) carriers employed on multi-year charters. The Partnership’s current fleet consists of six LNG carriers, with aggregate carrying capacity of approximately 914,000 cubic meters.


Visit the Partnership’s website at www.dynagaspartners.com  


Contact Information:

Dynagas LNG Partners LP
Attention: Michael Gregos
Tel. +30 210 8917960
Email: management@dynagaspartners.com    

Investor Relations/ Financial Media:
Nicolas Bornozis/Markella Kara
Capital Link, Inc.
230 Park Avenue, Suite 1540
New York, NY 10169
Tel. (212) 661-7566
E-mail: dynagas@capitallink.com  


Forward-Looking Statements

Matters discussed in this press release may constitute forward-looking statements. The Private Securities Litigation Reform Act of 1995 provides safe harbor protections for forward-looking statements in order to encourage companies to provide prospective information about their business. Forward-looking statements include statements concerning plans, objectives, goals, strategies, future events or performance, and underlying assumptions and other statements, which are other than statements of historical facts.

The Partnership desires to take advantage of the safe harbor provisions of the Private Securities Litigation Reform Act of 1995 and is including this cautionary statement in connection with this safe harbor legislation. The words “believe,” “anticipate,” “intends,” “estimate,” “forecast,” “project,” “plan,” “potential,” “may,” “should,” “expect,” “expected,” “pending” and similar expressions identify forward-looking statements.

The forward-looking statements in this press release are based upon various assumptions, many of which are based, in turn, upon further assumptions, including without limitation, examination by the Partnership’s management of historical operating trends, data contained in its records and other data available from third parties. Although the Partnership believes that these assumptions were reasonable when made, because these assumptions are inherently subject to significant uncertainties and contingencies which are difficult or impossible to predict and are beyond the Partnership’s control, the Partnership cannot assure you that it will achieve or accomplish these expectations, beliefs or projections.

In addition to these important factors, other important factors that, in the Partnership’s view, could cause actual results to differ materially from those discussed in the forward-looking statements include the strength of world economies and currencies, general market conditions, including fluctuations in charter rates and vessel values, changes in demand for Liquefied Natural Gas (LNG) shipping capacity, changes in the Partnership’s operating expenses, including bunker prices, drydocking and insurance costs, the market for the Partnership’s vessels, availability of financing and refinancing, changes in governmental rules and regulations or actions taken by regulatory authorities, potential liability from pending or future litigation, general domestic and international political conditions, potential disruption of shipping routes due to accidents or political events, vessel breakdowns and instances of off-hires and other factors. Please see our filings with the U.S. Securities and Exchange Commission for a more complete discussion of these and other risks and uncertainties. The information set forth herein speaks only as of the date hereof, and the Partnership disclaims any intention or obligation to update any forward-looking statements as a result of developments occurring after the date of this communication.



FAQ

What distribution did Dynagas LNG Partners (DLNG) declare for its Series A preferred units?

A cash distribution of $0.5625 per unit for the period from August 12, 2025 to November 11, 2025.

When is the payment date and record date for DLNG’s Series A preferred distribution?

The distribution is payable on November 12, 2025 to holders of record as of November 4, 2025.

How often are DLNG’s Series A preferred distributions paid?

They are payable quarterly in arrears on the 12th of February, May, August, and November, when, as and if declared.

How many Series A preferred units does Dynagas LNG Partners have outstanding?

The Partnership reports 3,000,000 Series A Preferred Units outstanding as of the announcement date.

How many consecutive distributions has DLNG paid on its Series A preferred units?

This is the forty-first sequential cash distribution since the units began trading on the NYSE.

What is the ticker for DLNG’s Series A preferred units?

The Series A Preferred Units trade on the NYSE under DLNG PR A.
Dynagas Lng Partners Lp

NYSE:DLNG

DLNG Rankings

DLNG Latest News

DLNG Latest SEC Filings

DLNG Stock Data

129.32M
17.37M
52.28%
23.14%
0.14%
Oil & Gas Midstream
Energy
Link
Greece
Athens