Reaves Utility Income Fund Section 19(A) Notice
Reaves Utility Income Fund Section 19(A) Notice
DENVER, CO / ACCESSWIRE / December 30, 2024 / On December 30, 2024, the Reaves Utility Income Fund (NYSE American:UTG) (the "Fund"), a closed-end sector fund, paid a monthly distribution on its common stock of $0.19 per share to shareholders of record at the close of business on December 16, 2024.
科羅拉多州丹佛 / ACCESSWIRE / 2024年12月30日 / 2024年12月30日,Reaves公用事業收益基金(紐交所美國:UTG)("基金")作爲一種封閉式板塊基金,向截至2024年12月16日業務結束時的股東支付每股0.19美元的月度分配。
The following table sets forth the estimated amount of the sources of distribution for purposes of Section 19 of the Investment Company Act of 1940, as amended, and the related rules adopted thereunder. In accordance with generally accepted accounting principles ("GAAP"), the Fund estimates the following percentages, of the total distribution amount per share, attributable to (i) current and prior fiscal year net investment income, (ii) net realized short-term capital gain, (iii) net realized long-term capital gain and (iv) return of capital or other capital source as a percentage of the total distribution amount. These percentages are disclosed for the current distribution as well as the fiscal year-to-date cumulative distribution amount per share for the Fund.
下表列出了根據1940年投資公司法(經修訂)第19條及其相關規則的分配來源估算金額。根據公認會計原則("GAAP"),基金估算每股分配總額的以下百分比,歸屬於(i)當前及以前財政年度的淨投資收入,(ii)淨實現的短期資本收益,(iii)淨實現的長期資本收益,以及(iv)資本回報或其他資本來源所佔總分配金額的百分比。這些百分比披露了當前分配以及基金的財政年度迄今爲止每股累計分配金額。
Current Distribution from: |
||||||||
Per Share ($) |
% |
|||||||
Net Investment Income |
0.04192 |
22.06% | ||||||
Net Realized Short-Term Capital Gain |
0.01034 |
5.44% | ||||||
Net Realized Long-Term Capital Gain |
0.02008 |
10.57% | ||||||
Return of Capital or other Capital Source |
0.11766 |
61.93% | ||||||
Total (per common share) |
0.19000 |
100.00% | ||||||
Fiscal Year-to-Date Cumulative |
||||||||
Distributions from: |
||||||||
Per Share ($) |
% |
|||||||
Net Investment Income |
0.07078 |
18.62% | ||||||
Net Realized Short-Term Capital Gain |
0.01883 |
4.96% | ||||||
Net Realized Long-Term Capital Gain |
0.17102 |
45.01% | ||||||
Return of Capital or other Capital Source |
0.11937 |
31.41% | ||||||
Total (per common share) |
0.38000 |
100.00% |
當前分配來自: |
||||||||
每股($) |
% |
|||||||
淨投資收益 |
0.04192 |
22.06% | ||||||
淨實現短期資本收益 |
0.01034 |
5.44% | ||||||
淨實現長期資本收益 |
0.02008 |
10.57% | ||||||
資本回報或其他資本來源 |
0.11766 |
61.93% | ||||||
每股總計 |
0.19000 |
100.00% | ||||||
財政年度至今累計 |
||||||||
來自於: |
||||||||
每股($) |
% |
|||||||
淨投資收益 |
0.07078 |
18.62% | ||||||
淨實現開空期資本收益 |
0.01883 |
4.96% | ||||||
淨實現開多期資本收益 |
0.17102 |
45.01% | ||||||
資本回報或其他資本來源 |
0.11937 |
31.41% | ||||||
每股總計 |
0.38000 |
100.00% |
The timing and character of distributions for federal income tax purposes are determined in accordance with income tax regulations which may differ from GAAP. As such, all or a portion of this distribution may be reportable as taxable income on your 2024 federal income tax return. The final tax character of any distribution declared in 2024 will be determined in January 2025 and reported to you on IRS Form 1099-DIV.
聯邦所得稅分配的時間和性質根據可能與公認會計原則(GAAP)不同的所得稅法規來確定。因此,全部或部分分配可能在您的2024年聯邦所得稅申報表上報告爲應納稅收入。2024年宣佈的任何分配的最終稅務性質將於2025年1月確定,並在IRS表格1099-DIV上向您報告。
The amounts and sources of distributions reported in this 19(a) Notice are only estimates and not for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes. The Fund estimates that it has distributed more than its income and net realized capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund's investment performance and should not be confused with 'yield' or 'income.'
在此19(a)通知中報告的分配金額和來源只是估計值,並非稅務報告用途。用於稅務報告的實際金額和來源將取決於基金在其財年的剩餘時間內的投資表現,並可能根據稅收法規的變化而有所變動。基金將爲您發送一份表格1099-DIV,用於告知您如何在聯邦所得稅申報中報告這些分配。基金估計已分配超過其收入和淨實現資本收益,因此,您的某部分分配可能是資本回報。資本回報可能發生,例如,您投資於基金的部分或全部資金被返還給您。資本回報分配不一定反映基金的投資表現,且不應與「收益」或「收入」混淆。
Presented below are return figures, based on the change in the Fund's Net Asset Value per share ("NAV"), compared to the annualized distribution rate for this current distribution as a percentage of the NAV on the last day of the month prior to distribution record date.
下列呈現的是基於基金每股淨資產值("NAV")的變化的回報數據,與本次分配的年化分配率作爲前一個月最後一天淨資產值的百分比進行比較。
Fund Performance & Distribution Information
基金表現與分配信息
Fiscal Year to Date (11/01/2024 through 11/30/24) |
||||
Annualized Distribution Rate as a Percentage of NAV^ |
6.43% | |||
Cumulative Distribution Rate on NAV^+
|
1.07% | |||
Cumulative Total Return on NAV* |
9.40% | |||
Average Annual Total Return on NAV for the 5 Year Period Ended 11/30/2024** |
7.38% |
財年迄今(2024年11月01日至2024年11月30日) |
||||
年化分配率佔NAV的百分比^ |
6.43% | |||
淨資產值的累積分配率^+ |
1.07% | |||
累計淨資產總回報* |
9.40% | |||
截至2024年11月30日的5年期平均年度總回報率** |
7.38% |
^Based on the Fund's NAV as of November 30, 2024.
^基於截至2024年11月30日的基金淨資產。
+Cumulative distribution rate is based on distributions paid to date for the period November 1, 2024 through
December 31, 2024.
+累計分配率基於截至2024年11月1日的已支付分配。
2024年12月31日。
*Cumulative fiscal year-to-date return is based on the change in NAV including distributions paid and assuming reinvestment of these distributions for the period November 1, 2024 through November 30, 2024.
*截至2024年11月30日的累計財政年度回報基於淨資產的變化,包括已支付的分配,並假設對這些分配進行了再投資。
**The 5 year average annual total return is based on change in NAV including distributions paid and assuming reinvestment of these distributions and is through the last business day of the month prior to the month of the current distribution record date.
**5年平均年化總回報率基於淨資產價值的變化,包括所支付的分紅,並假設這些分紅被再投資,計算至當前分紅記錄日期前一個月的最後一個營業日。
While the NAV performance may be indicative of the Fund's investment performance, it does not measure the value of a shareholder's investment in the Fund. The value of a shareholder's investment in the Fund is determined by the Fund's market price, which is based on the supply and demand for the Fund's shares in the open market. Past performance does not guarantee future results. Shareholders should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund's Managed Distribution Plan.
儘管淨資產價值的表現可能表明基金的投資表現,但它並不衡量股東在基金中的投資價值。股東在基金中的投資價值由基金的市場價格決定,該價格基於開放市場上基金股份的供需關係。過去的表現不能保證未來的結果。股東不應依據該分紅金額或基金的管理分配計劃條款得出基金的投資表現結論。
Furthermore, the Board of Trustees reviews the amount of any potential distribution and the income, capital gain or capital available. The Board of Trustees will continue to monitor the Fund's distribution level, taking into consideration the Fund's net asset value and the financial market environment. The Fund's distribution policy is subject to modification by the Board of Trustees at any time. The distribution rate should not be considered the dividend yield or total return on an investment in the Fund.
此外,信託委員會審查任何潛在分配的金額以及收入、資本利得或可用資本。信託委員會將持續監控基金的分配水平,考慮基金的淨資產價值和金融市場環境。基金的分配政策可隨時由信託委員會進行修改。分配率不應被視爲對基金投資的股息收益率或總回報。
Paralel Distributors LLC, FINRA Member Firm.
Paralel Distributors LLC, FINRA成員公司。
Contact info:
聯繫信息:
SOURCE: Reaves Utility Income Fund
來源:Reaves公用事業收益基金
譯文內容由第三人軟體翻譯。