Brookfield Real Assets Income Fund Inc. Declares Monthly Dividend for the Month of January, February and March, Payable on January 24, 2019, February 21, 2019 and March 21, 2019 Respectively
January 05, 2019 at 02:42 am IST
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Brookfield Real Assets Income Fund Inc. declared monthly distributions of $0.1990 for the month of January, February and March, payable on January 24, 2019, February 21, 2019 and March 21, 2019 respectively. Record date is January 16, 2019, February 13, 2019 and March 13, 2019 respectively. Ex date is January 15, 2019, February 12, 2019 and March 12, 2019 respectively.
Brookfield Real Assets Income Fund Inc. (the Fund) is a diversified, closed-end management investment company. The investment objective of the Fund is to seek high total return, primarily through high current income and secondarily, through growth of capital. The Fund seeks to achieve its investment objective by investing primarily in the real asset class, which includes real estate securities; infrastructure securities; and natural resources securities (real asset companies and issuers). Under normal market conditions, the Fund will invest at least 80% of its managed assets in the securities and other instruments of real asset companies and issuers. The Fund may invest at least 65% of its Managed Assets in fixed income securities of real asset companies and issuers and in derivatives and other instruments. Its investment advisor is Brookfield Public Securities Group LLC.
Brookfield Real Assets Income Fund Inc. Declares Monthly Dividend for the Month of January, February and March, Payable on January 24, 2019, February 21, 2019 and March 21, 2019 Respectively