Press Releases

Press Releases2022-11-22T10:31:11-05:00

FS KKR Capital Corp

The company announced that it has priced an underwritten public offering of an additional $100 million in aggregate

December 20th, 2024|

Herzfeld Caribbean Basin Fd

Quarterly dividend increased by 71.75% to $0.2325 from $0.135375 per share. As of 2024-12-19, NAV Yield was 16.8%,

December 20th, 2024|

PIMCO Dyn Incm Stgy Fd

Distribution amount: $0.37. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-13.

December 19th, 2024|

ASA Gd & Prcs Mtl

The Rights Plan Committee (the “Committee”) of the Board of Directors (the “Board”) of ASA Gold and Precious

December 19th, 2024|

Pearl Diver Cr Co

The company today announced the closing of its previously announced public offering of 1,200,000 shares of its 8.00%

December 19th, 2024|

Saratoga Inv Corp

A conference call to discuss the results will be held on January 9, 2025, at 10:00 a.m. ET.

December 18th, 2024|

TP Vntr Gwth BDC Corp

The company today announced the appointment of Mike L. Wilhelms as Chief Financial Officer (CFO) of the Company,

December 18th, 2024|

Cntrl & East Euro Fd

Annual distribution amount: $0.3532. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-31.

December 18th, 2024|

New Germany Fd

Semiannual distribution amount: $0.0482. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-31.

December 18th, 2024|

European Eq Fd

Semiannual distribution amount: $0.141. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-31.

December 18th, 2024|

DWS Muni Incm Tr

Distribution amount: $0.0156. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-10.

December 18th, 2024|

China Fund

The Board of Directors (the "Board") of The China Fund, Inc. (NYSE: CHN) (the "Fund") has appointed Stifel,

December 18th, 2024|

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, 2024|

Calamos Lng-Srt Eq & Dyn Incm

Monthly dividend increased by 139.93% to $0.3359 from $0.14 per share. As of 2024-12-18, NAV Yield was 9.9%,

December 18th, 2024|

Calamos Dyn Convt & Incm Fd

Calamos Investments® announced that Calamos Dynamic Convertible and Income Fund (NASDAQ: CCD), Calamos Convertible Opportunities and Income Fund

December 18th, 2024|

Calamos Convt Opp & Incm

Calamos Investments® announced that Calamos Dynamic Convertible and Income Fund (NASDAQ: CCD), Calamos Convertible Opportunities and Income Fund

December 18th, 2024|

Calamos Convt & Hi Incm Fd

Calamos Investments® announced that Calamos Dynamic Convertible and Income Fund (NASDAQ: CCD), Calamos Convertible Opportunities and Income Fund

December 18th, 2024|

TCW Stgc Incm Fd

Distribution amount: $0.145. Ex-div date 2024-12-31, Record date 2024-12-31, Payable date 2025-01-10.

December 17th, 2024|

NXG Cushing Midstream Nrg Fd

Distribution amount: $0.31477. Ex-div date 2024-12-27, Record date 2024-12-27, Payable date 2024-12-31.

December 17th, 2024|

PhenixFIN Corp

The company announced 2024-09-30 financial results. Net asset value increased by 3.96% to $79.37 per share from $76.35

December 17th, 2024|

Blue Owl Cap Corp III

Distribution amount: $0.52. Ex-div date 2024-12-31, Record date 2024-12-31, Payable date 2025-01-31.

December 16th, 2024|

Korea Fund

Annual distribution amount: $0.454161. Ex-div date 2024-12-23, Record date 2024-12-23, Payable date 2025-01-06.

December 16th, 2024|

Great Elm Cap Corp

Distribution amount: $0.05. Ex-div date 2024-12-31, Record date 2024-12-31, Payable date 2025-01-15.

December 16th, 2024|

RENN Fd

Distribution amount: $0.022371. Ex-div date 2024-12-18, Record date 2024-12-16, Payable date 2024-12-27.

December 16th, 2024|

General American Invstr

The Fund announced that the price at which shares of its common stock will be issued to stockholders

December 13th, 2024|

Taiwan Fund

Distribution amount: $7.3984. Ex-div date 2024-12-27, Record date 2024-12-27, Payable date 2025-01-10.

December 13th, 2024|

Blackstone Lng-Srt Cr Incm Fd

Monthly dividend decreased by 3.96% to $0.097 from $0.101 per share. As of 2024-12-13, NAV Yield was 9.0%,

December 13th, 2024|

China Fund

Annual distribution amount: $0.1497. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-10.

December 13th, 2024|

JH Hgd Eq & Incm Fd

On December 12, 2024, the Board of Trustees of John Hancock Hedged Equity & Income Fund (the "Fund")

December 13th, 2024|

Portman Ridge Fin Corpn

Portman Ridge Finance Corporation (Nasdaq: PTMN) (“Portman Ridge”) and Logan Ridge Finance Corporation (Nasdaq: LRFC) (“Logan Ridge”) announced

December 12th, 2024|

Logan Ridge Fin Corpn

Portman Ridge Finance Corporation (Nasdaq: PTMN) (“Portman Ridge”) and Logan Ridge Finance Corporation (Nasdaq: LRFC) (“Logan Ridge”) announced

December 12th, 2024|

Great Elm Cap Corp

The company announced it issued approximately 1.1 million shares of the Company’s common stock at a current net

December 12th, 2024|

JH Fin Opp Fd

The Funds announced today that the Board of Trustees has renewed the Funds' share repurchase plans. The Board

December 12th, 2024|

JH Hgd Eq & Incm Fd

The Funds announced today that the Board of Trustees has renewed the Funds' share repurchase plans. The Board

December 12th, 2024|

JH Incm Sec Tr

The Funds announced today that the Board of Trustees has renewed the Funds' share repurchase plans. The Board

December 12th, 2024|

JH Invstr Tr

The Funds announced today that the Board of Trustees has renewed the Funds' share repurchase plans. The Board

December 12th, 2024|

JH Prm Div Fd

The Funds announced today that the Board of Trustees has renewed the Funds' share repurchase plans. The Board

December 12th, 2024|

JH Tax-Adv Div Incm Fd

The Funds announced today that the Board of Trustees has renewed the Funds' share repurchase plans. The Board

December 12th, 2024|

Herzfeld Caribbean Basin Fd

The Fund today announced that Thomas J. Herzfeld, Chairman of the Board of Directors has resigned from the

December 12th, 2024|

Barings Corp Invstr

Distribution amount: $0.1. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-17.

December 12th, 2024|

Barings Partcp Invstr

Distribution amount: $0.1. Ex-div date 2024-12-30, Record date 2024-12-30, Payable date 2025-01-17.

December 12th, 2024|

Pearl Diver Cr Co

The Company announced that it has priced an underwritten public offering of 1,200,000 shares of its 8.00% Series

December 12th, 2024|

Bexil Investment Tr

Quarterly dividend decreased by 21.88% to $0.25 from $0.32 per share. As of 2024-12-12, NAV Yield was 4.7%,

December 12th, 2024|

Mexico Eq & Incm Fd

Annual distribution amount: $0.2981. Ex-div date 2024-12-23, Record date 2024-12-23, Payable date 2024-12-31.

December 12th, 2024|

Blackstone Secur Lending Fd

The company announced today that it has priced an underwritten public offering of $300.0 million in aggregate principal

December 11th, 2024|

Pearl Diver Cr Co

The company has commenced an underwritten public offering of its Series A Preferred Stock Due 2029. Certain financial

December 11th, 2024|

Invsc Tr fr Inv Grd NY Muni

Invesco Advisers, Inc., a subsidiary of Invesco Ltd. (NYSE: IVZ), announced today the final results of the tender

December 11th, 2024|

Invsc PA Val Muni Incm Tr

Invesco Advisers, Inc., a subsidiary of Invesco Ltd. (NYSE: IVZ), announced today the final results of the tender

December 11th, 2024|

F&C Pref & Incm Fd

Distribution amount: $0.03. Ex-div date 2024-12-23, Record date 2024-12-23, Payable date 2024-12-31.

December 11th, 2024|

F&C Pref Incm Opp Fd

Distribution amount: $0.033. Ex-div date 2024-12-23, Record date 2024-12-23, Payable date 2024-12-31.

December 11th, 2024|

F&C Pref Sec Incm Fd

Distribution amount: $0.0325. Ex-div date 2024-12-23, Record date 2024-12-23, Payable date 2024-12-31.

December 11th, 2024|

F&C Tot Rtn Fd

Distribution amount: $0.0343. Ex-div date 2024-12-23, Record date 2024-12-23, Payable date 2024-12-31.

December 11th, 2024|

F&C Dyn Pref & Incm Fd

Distribution amount: $0.032. Ex-div date 2024-12-23, Record date 2024-12-23, Payable date 2024-12-31.

December 11th, 2024|

abrdn Incm Cr Stgs Fd

Monthly dividend decreased by 22.5% to $0.0775 from $0.1 per share. As of 2024-12-10, NAV Yield was 18.4%,

December 10th, 2024|

abrdn Glbl Infra Incm Fd

Monthly dividend decreased by 4.76% to $0.20 from $0.21 per share. As of 2024-12-10, NAV Yield was 12.5%,

December 10th, 2024|

Gladstone Inv Corp

The Company announced that it priced a public offering of $110.0 million aggregate principal amount of 7.875% Notes

December 10th, 2024|

Hi Incm Sec Fd

The Fund announced that its tender offer to purchase up to 10,675,000 of the Fund’s shares for cash

December 10th, 2024|

Invsc PA Val Muni Incm Tr

Invesco Advisers, Inc., a subsidiary of Invesco Ltd. (NYSE: IVZ), announced today the preliminary results of the previously

December 10th, 2024|

Trinity Capital

The company today announced an increase to $600 million of total commitments under its credit facility led by

December 10th, 2024|

Invsc Tr fr Inv Grd NY Muni

Invesco Advisers, Inc., a subsidiary of Invesco Ltd. (NYSE: IVZ), announced today the preliminary results of the previously

December 10th, 2024|

Fed Prmr Muni Incm Fd

Monthly dividend increased by 5.26% to $0.04 from $0.038 per share. As of 2024-12-09, NAV Yield was 3.5%,

December 10th, 2024|

Cap Southwest Corp

The Company announced that the U.S. Small Business Administration (the “SBA”) has issued a “green light” letter inviting

December 10th, 2024|

abrdn Glbl Dyn Div Fd

Monthly dividend decreased by 8.33% to $0.11 from $0.12 per share. As of 2024-12-10, NAV Yield was 12.8%,

December 10th, 2024|

Eagle Point Cr Co

On December 10, 2024, in connection with a previously announced public offering (the “Offering”), Eagle Point Credit Company

December 10th, 2024|

Destra Multi-Alt Fd

Distribution amount: $0.3239. Ex-div date 2024-12-19, Record date 2024-12-20, Payable date 2024-12-31.

December 10th, 2024|

EV Muni Bnd Fd

The Fund announced today the commencement of a cash tender offer (the “Tender Offer”) for up to 5%

December 10th, 2024|

Crescent Capital BDC

On December 3, 2024, Crescent Capital BDC, Inc. (the “Company”) and certain subsidiaries of the Company entered into

December 10th, 2024|

abrdn Emrg Mkt Eq Incm Fd

The Fund's Board has approved changes to the Fund's name, its non-fundamental 80% investment policy, and its benchmark,

December 10th, 2024|

Prospect Capital Corp

The Company is pleased to host an upcoming webinar for financial professionals titled “Preferred Stock as a Low

December 9th, 2024|

Gladstone Inv Corp

The Company announced that it plans to make a public offering of Notes due 2030 (the "Notes"). The

December 9th, 2024|

Japan Sml Caplz Fd

Annual distribution amount: $0.3118. Ex-div date 2024-12-19, Record date 2024-12-19, Payable date 2024-12-27.

December 9th, 2024|

MS Emrg Mkt Dbt Fd

Morgan Stanley Investment Management announced that, effective immediately, the Morgan Stanley Emerging Markets Debt Fund, Inc. (NYSE: MSD)

December 6th, 2024|

BR Health Sci Trm Tr

Monthly dividend increased by 0.67% to $0.17809 from $0.1769 per share. As of 2024-12-06, NAV Yield was 12.1%,

December 6th, 2024|

BR Sci & Tech Trm Tr

Monthly dividend increased by 1.16% to $0.218 from $0.21549 per share. As of 2024-12-06, NAV Yield was 10.7%,

December 6th, 2024|

BR Innovation & Gwth Trm Tr

Monthly dividend increased by 0.5% to $0.08676 from $0.08633 per share. As of 2024-12-06, NAV Yield was 11.5%,

December 6th, 2024|

BR Cap Alloc Trm Tr

Monthly dividend increased by 0.23% to $0.28919 from $0.28854 per share. As of 2024-12-06, NAV Yield was 20.2%,

December 6th, 2024|

BR ESG Cap Alloc Trm Tr

Monthly dividend increased by 0.59% to $0.30684 from $0.30503 per share. As of 2024-12-06, NAV Yield was 19.8%,

December 6th, 2024|

AB Glbl Hi Incm Fd

Distribution amount: $0.0156. Ex-div date 2024-12-19, Record date 2024-12-19, Payable date 2025-01-17.

December 6th, 2024|

Golub Capital BDC

On December 6, 2024, GBDC entered into an agreement (the “Commitment Increase Agreement”), pursuant to which, through the

December 6th, 2024|

Swiss Helvetia Fd

Quarterly dividend increased by 13.02% to $0.1458 from $0.129 per share. As of 2024-12-06, NAV Yield was 5.4%,

December 6th, 2024|

Tmp Emrg Mkt Fd

Annual distribution amount: $0.5114. Ex-div date 2024-12-16, Record date 2024-12-16, Payable date 2024-12-31.

December 6th, 2024|

Chicago Atlantic BDC

Quarterly dividend increased by 36.0% to $0.34 from $0.25 per share. As of 2024-12-05, NAV Yield was 7.5%,

December 6th, 2024|

ClmbSlgmn Prm Tech Gwth Fd

Distribution amount: $3.2669. Ex-div date 2024-12-16, Record date 2024-12-16, Payable date 2025-01-21.

December 6th, 2024|
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