Virtus Stone Harbor Emerging Markets Income Fund Announces Distributions
Virtus Stone Harbor Emerging Markets Income Fund (NYSE: EDF) has announced its monthly distributions for September, October, and November 2024. The fund will distribute $0.06 per share for each month. The ex-dates, record dates, and payable dates are as follows:
- September: Ex-Date and Record Date - September 13, 2024; Payable Date - September 26, 2024
- October: Ex-Date and Record Date - October 11, 2024; Payable Date - October 30, 2024
- November: Ex-Date and Record Date - November 12, 2024; Payable Date - November 27, 2024
The fund notes that these distribution amounts are estimates and may be subject to changes based on tax regulations and investment performance.
Il Virtus Stone Harbor Emerging Markets Income Fund (NYSE: EDF) ha annunciato le sue distribuzioni mensili per settembre, ottobre e novembre 2024. Il fondo distribuir脿 $0,06 per azione per ciascun mese. Le date ex-dividendo, le date di registrazione e le date di pagamento sono le seguenti:
- Settembre: Data ex-dividendo e Data di registrazione - 13 settembre 2024; Data di pagamento - 26 settembre 2024
- Ottobre: Data ex-dividendo e Data di registrazione - 11 ottobre 2024; Data di pagamento - 30 ottobre 2024
- Novembre: Data ex-dividendo e Data di registrazione - 12 novembre 2024; Data di pagamento - 27 novembre 2024
Il fondo informa che questi importi di distribuzione sono stime e potrebbero essere soggetti a variazioni in base alle normative fiscali e alla performance degli investimenti.
El Virtus Stone Harbor Emerging Markets Income Fund (NYSE: EDF) ha anunciado sus distribuciones mensuales para septiembre, octubre y noviembre de 2024. El fondo distribuir谩 $0.06 por acci贸n cada mes. Las fechas ex-dividendo, fechas de registro y fechas de pago son las siguientes:
- Septiembre: Fecha ex-dividendo y Fecha de registro - 13 de septiembre de 2024; Fecha de pago - 26 de septiembre de 2024
- Octubre: Fecha ex-dividendo y Fecha de registro - 11 de octubre de 2024; Fecha de pago - 30 de octubre de 2024
- Noviembre: Fecha ex-dividendo y Fecha de registro - 12 de noviembre de 2024; Fecha de pago - 27 de noviembre de 2024
El fondo se帽ala que estos montos de distribuci贸n son estimaciones y pueden estar sujetos a cambios seg煤n regulaciones fiscales y el rendimiento de las inversiones.
Virtus Stone Harbor Emerging Markets Income Fund (NYSE: EDF)臧 2024雲 9鞗, 10鞗, 11鞗旍潣 鞗旊硠 氚半嫻旮堨潉 氚滍憸頄堨姷雼堧嫟. 鞚 韼霌滊姅 毵れ洈 $0.06 欤茧嫻 氚半嫻旮堨潉 歆旮夗暊 鞓堨爼鞛呺媹雼. 氚半嫻旮 旮办偘鞚, 旮半鞚, 歆旮夓澕鞚 雼れ潓瓿 臧欖姷雼堧嫟:
- 9鞗: 旮办偘鞚 氚 旮半鞚 - 2024雲 9鞗 13鞚; 歆旮夓澕 - 2024雲 9鞗 26鞚
- 10鞗: 旮办偘鞚 氚 旮半鞚 - 2024雲 10鞗 11鞚; 歆旮夓澕 - 2024雲 10鞗 30鞚
- 11鞗: 旮办偘鞚 氚 旮半鞚 - 2024雲 11鞗 12鞚; 歆旮夓澕 - 2024雲 11鞗 27鞚
韼霌滊姅 鞚 氚半嫻旮 旮堨暋鞚 於旍爼旃橃澊氅 靹戈笀 攴滌爼 氚 韴瀽 鞁れ爜鞐 霐半澕 氤瓴诫悹 靾 鞛堨潓鞚 鞎岆Μ瓿 鞛堨姷雼堧嫟.
Le Virtus Stone Harbor Emerging Markets Income Fund (NYSE: EDF) a annonc茅 ses distributions mensuelles pour septembre, octobre et novembre 2024. Le fonds distribuera 0,06 $ par action pour chaque mois. Les dates ex-dividende, dates d'enregistrement et dates de paiement sont les suivantes :
- Septembre : Date ex-dividende et Date d'enregistrement - 13 septembre 2024 ; Date de paiement - 26 septembre 2024
- Octobre : Date ex-dividende et Date d'enregistrement - 11 octobre 2024 ; Date de paiement - 30 octobre 2024
- Novembre : Date ex-dividende et Date d'enregistrement - 12 novembre 2024 ; Date de paiement - 27 novembre 2024
Le fonds indique que ces montants de distribution sont des estimations et peuvent 锚tre soumis 脿 des changements en fonction des r茅glementations fiscales et de la performance des investissements.
Der Virtus Stone Harbor Emerging Markets Income Fund (NYSE: EDF) hat seine monatlichen Aussch眉ttungen f眉r September, Oktober und November 2024 bekannt gegeben. Der Fonds wird f眉r jeden Monat 0,06 $ pro Aktie aussch眉tten. Die Ex-Tag, Record-Daten und Zahlungsdaten sind wie folgt:
- September: Ex-Tag und Record-Datum - 13. September 2024; Zahlungstermin - 26. September 2024
- Oktober: Ex-Tag und Record-Datum - 11. Oktober 2024; Zahlungstermin - 30. Oktober 2024
- November: Ex-Tag und Record-Datum - 12. November 2024; Zahlungstermin - 27. November 2024
Der Fonds weist darauf hin, dass diese Aussch眉ttungsbetr盲ge Sch盲tzungen sind und 脛nderungen unterliegen k枚nnen, die auf Steuerregulierungen und Anlageergebnisse basieren.
- Consistent monthly distributions of $0.06 per share for three consecutive months
- Clear schedule of distribution dates provided for investor planning
- None.
Amount of Distribution |
Ex-Date |
Record Date |
Payable Date |
|
September 13, 2024 |
September 13, 2024 |
September 26, 2024 |
|
October 11, 2024 |
October 11, 2024 |
October 30, 2024 |
|
November 12, 2024 |
November 12, 2024 |
November 27, 2024 |
The amounts of distributions reported in this notice are estimates only and are not being provided for tax reporting purposes. The actual amounts and sources of the distributions for tax purposes will depend on the Fund鈥檚 investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund or your broker will send you a Form 1099-DIV for the calendar year that will tell you what distributions to report for federal income tax purposes.
About the Fund
is a non-diversified, closed-end management investment company that is managed by . The Fund's primary investment objective is to maximize total return, which consists of income and capital appreciation on its investments in emerging markets securities. There is no assurance that the Fund will achieve its investment objective.
For more information on the Fund, contact shareholder services at (866) 270-7788, by email at closedendfunds@virtus.com, or through the section of .
Fund Risks
An investment in a fund is subject to risk, including the risk of possible loss of principal. A fund鈥檚 shares may be worth less upon their sale than what an investor paid for them. Shares of closed-end funds may trade at a premium or discount to their net asset value. For more information about the Fund鈥檚 investment objective and risks, please see the Fund鈥檚 annual report. A copy of the Fund鈥檚 most recent annual report may be obtained free of charge by contacting 鈥淪hareholder Services鈥 as set forth at the end of this press release.
About Stone Harbor
is a global institutional fixed-income investment manager specializing in credit and asset allocation strategies. The firm manages institutional clients鈥 assets in a range of investment strategies including emerging markets debt, global high yield, bank loans, as well as multi-sector credit products including unconstrained and total return approaches. The firm鈥檚 investment strategies are based on fundamental insights, derived from a combination of proprietary research and the in-depth knowledge and specialized experience of the firm鈥檚 team. Founded in 2006, it is based in
About Virtus Investment Partners, Inc.
(NYSE: VRTS) is a distinctive partnership of boutique investment managers singularly committed to the long-term success of individual and institutional investors. We provide investment management products and services from our , each with a distinct investment style and autonomous investment process, as well as select subadvisers. Investment solutions are available across multiple disciplines and product types to meet a wide array of investor needs. Additional information about our firm, investment partners, and strategies is available at .
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For Further Information:
Shareholder Services
(866) 270-7788
closedendfunds@virtus.com
Source: Virtus Stone Harbor Emerging Markets Income Fund
FAQ
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