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Press Releases

Press Releases2025-09-26T14:25:26-04:00

NXG NextGen Infra Incm Fd

On December 30, 2025, NXG NextGen Infrastructure Income Fund (NYSE: NXG) (the “Fund”) entered into a distribution agreement

December 31st, 2025|

FS Splty Lending Fd

On December 19, 2025, Edward T. Gallivan, Jr. notified the board of trustees (the “Board”) of FS Specialty

December 31st, 2025|

FS Cr Opp Corp

On December 19, 2025, Edward T. Gallivan, Jr. notified the board of directors (the “Board”) of FS Credit

December 31st, 2025|

Herzfeld Cr Incm Fd

Distribution amount: $0.6867. Ex-div date 2025-12-31, Record date 2025-11-21, Payable date 2025-12-30.

December 30th, 2025|

Nuv NY Sel Tx-Free Incm Port

Shareholders of the Nuveen Select Tax-Free Income Portfolio (NYSE: NXP), Nuveen California Select Tax-Free Income Portfolio (NYSE: NXC),

December 30th, 2025|

Nuv CA Sel Tx-Free Incm Port

Shareholders of the Nuveen Select Tax-Free Income Portfolio (NYSE: NXP), Nuveen California Select Tax-Free Income Portfolio (NYSE: NXC),

December 30th, 2025|

Nuv Sel Tx-Free Incm Port

Shareholders of the Nuveen Select Tax-Free Income Portfolio (NYSE: NXP), Nuveen California Select Tax-Free Income Portfolio (NYSE: NXC),

December 30th, 2025|

AB Glbl Hi Incm Fd

Distribution amount: $0.0167. Ex-div date 2026-01-08, Record date 2026-01-08, Payable date 2026-01-16.

December 29th, 2025|

Eagle Point Cr Co

The company today announced the full redemption of the Company’s 8.00% Series F Term Preferred Stock due 2029

December 29th, 2025|

Allspring Util & Hi Incm Fd

Monthly dividend increased by 0.62% to $0.08434 from $0.08382 per share. As of 2025-12-24, NAV Yield was 7.8%,

December 26th, 2025|

Allspring Incm Opp Fd

Monthly dividend decreased by 0.04% to $0.05354 from $0.05356 per share. As of 2025-12-24, NAV Yield was 8.8%,

December 26th, 2025|

Allspring Mlt-Sctr Incm Fd

Monthly dividend increased by 0.1% to $0.0723 from $0.07223 per share. As of 2025-12-24, NAV Yield was 8.7%,

December 26th, 2025|

MS Direct Lending Fd

On December 22, 2025, Gauranga Pal notified the Board of Directors (the “Board”) of Morgan Stanley Direct Lending

December 24th, 2025|

Palmer Sq Cap BDC

Distribution amount: $0.07. Ex-div date 2025-12-29, Record date 2025-12-29, Payable date 2026-01-14.

December 23rd, 2025|

Bain Cap Splty Fin

Distribution amount: $0.15. Ex-div date 2025-12-31, Record date 2025-12-31, Payable date 2026-01-26.

December 22nd, 2025|

Saba Cap Incm & Opp Fd II

Distribution amount: $0.1. Ex-div date 2025-12-31, Record date 2025-12-31, Payable date 2026-01-16.

December 22nd, 2025|

Spl Opp Fd

Distribution amount: $0.7. Ex-div date 2025-12-29, Record date 2025-12-29, Payable date 2026-01-30.

December 19th, 2025|

Virtus Divr Incm & Convt Fd

Distribution amount: $0.384. Ex-div date 2025-12-29, Record date 2025-12-29, Payable date 2026-01-09.

December 19th, 2025|

EV Flt-Rt Incm Tr

Monthly dividend increased by 7.5% to $0.086 from $0.08 per share. As of 2025-12-18, NAV Yield was 7.7%,

December 19th, 2025|

Bexil Investment Tr

Quarterly dividend increased by 4.0% to $0.26 from $0.25 per share. As of 2025-12-26, NAV Yield was 4.1%,

December 19th, 2025|

Virtus AI & Tech Opp Fd

Distribution amount: $1.191. Ex-div date 2025-12-29, Record date 2025-12-29, Payable date 2026-01-09.

December 19th, 2025|

Virtus Eq & Convt Incm Fd

Distribution amount: $0.526. Ex-div date 2025-12-29, Record date 2025-12-29, Payable date 2026-01-09.

December 19th, 2025|

Tot Rtn Sec Fd

The Fund announced that it is commencing a tender offer to purchase up to 4 million shares of

December 19th, 2025|

PIMCO Dyn Incm Stgy Fd

Distribution amount: $2.97. Short-Term Capital Gains: $1.21. Long-Term Capital Gains: $1.76. Ex-div date 2025-12-29, Record date 2025-12-29, Payable

December 19th, 2025|

European Eq Fd

Semiannual distribution amount: $0.7484. Ex-div date 2025-12-30, Record date 2025-12-30, Payable date 2026-01-30.

December 18th, 2025|

New Germany Fd

Semiannual distribution amount: $0.1298. Ex-div date 2025-12-30, Record date 2025-12-30, Payable date 2026-01-30.

December 18th, 2025|

Cntrl & East Euro Fd

Annual distribution amount: $0.3871. Ex-div date 2025-12-30, Record date 2025-12-30, Payable date 2026-01-30.

December 18th, 2025|

DWS Muni Incm Tr

Distribution amount: $0.0333. Ex-div date 2025-12-30, Record date 2025-12-30, Payable date 2026-01-12.

December 18th, 2025|

abrdn Incm Cr Stgs Fd

The Fund has closed a $100 million private offering of Series A Mandatorily Redeemable Preferred Shares due December

December 18th, 2025|

Nuv Sel Tx-Free Incm Port

Shareholders of the Nuveen Select Tax-Free Income Portfolio (NYSE: NXP), Nuveen California Select Tax-Free Income Portfolio (NYSE: NXC),

December 18th, 2025|

Nuv NY Sel Tx-Free Incm Port

Shareholders of the Nuveen Select Tax-Free Income Portfolio (NYSE: NXP), Nuveen California Select Tax-Free Income Portfolio (NYSE: NXC),

December 18th, 2025|

Nuv CA Sel Tx-Free Incm Port

Shareholders of the Nuveen Select Tax-Free Income Portfolio (NYSE: NXP), Nuveen California Select Tax-Free Income Portfolio (NYSE: NXC),

December 18th, 2025|

BR MuniYld Qlty Fd

The previously proposed reorganizations of BlackRock Virginia Municipal Bond Trust (BHV) and BlackRock MuniYield Pennsylvania Quality Fund (MPA)

December 18th, 2025|

BR VA Muni Bnd Tr

The previously proposed reorganizations of BlackRock Virginia Municipal Bond Trust (BHV) and BlackRock MuniYield Pennsylvania Quality Fund (MPA)

December 18th, 2025|

BR MuniYld PA Qlty Fd

The previously proposed reorganizations of BlackRock Virginia Municipal Bond Trust (BHV) and BlackRock MuniYield Pennsylvania Quality Fund (MPA)

December 18th, 2025|

Principal Rel-Est Incm Fd

The Board of Trustees (the "Board") of Principal Real Estate Income Fund (the "Fund"), announced that it has

December 18th, 2025|

CION Inv Corp

The Company announced that it closed an offering of $172.5 million in aggregate principal amount of its senior

December 18th, 2025|

ArrowMark Fin Corp

The Fund announced that it has entered into a securities purchase agreement with investors to purchase 673,249 of

December 18th, 2025|

KA Nrg Infra Fd

Monthly dividend increased by 6.25% to $0.085 from $0.08 per share. As of 2025-12-18, NAV Yield was 7.2%,

December 18th, 2025|

Trinity Capital

The Company announced that it will transition from quarterly to monthly dividends, beginning in January 2026, and the

December 18th, 2025|