Brookfield Real Assets Income Fund Inc. announced that its Board of Directors declared the Fund?s monthly distributions of $0.1180 for each July, August and September 2024. Record dates are July 9, 2024, August 6, 2024 and September 10, 2024, respectively. Ex-Dividend dates are July 9, 2024, August 6, 2024 and September 10, 2024, respectively.

Payable dates are July 25, 2024, August 26, 2024 and September 24, 2024 respectively.