NEUBERGER BERMAN HIGH YIELD STRATEGIES FUND ANNOUNCES MONTHLY DISTRIBUTION
Neuberger Berman High Yield Strategies Fund (NYSE American: NHS) has declared a monthly distribution of $0.0905 per share of common stock. The distribution is payable on January 31, 2025, with a record and ex-date of January 15, 2025.
Under its level distribution policy, the Fund plans to maintain regular monthly distributions of $0.0905 per share, subject to market conditions. The distribution's sustainability depends on factors including investment income stability, leverage costs, and Fund expenses. Future distributions may include net investment income, capital gains, and return of capital. Final tax characteristics will be determined after year-end 2025.
Neuberger Berman High Yield Strategies Fund (NYSE American: NHS) ha dichiarato una distribuzione mensile di $0.0905 per azione di azioni ordinarie. La distribuzione sar脿 pagabile il 31 gennaio 2025, con una data di registrazione e una data ex del 15 gennaio 2025.
Secondo la sua politica di distribuzione costante, il Fondo prevede di mantenere distribuzioni mensili regolari di $0.0905 per azione, soggette alle condizioni di mercato. La sostenibilit脿 della distribuzione dipende da fattori come la stabilit脿 del reddito da investimenti, i costi di leva finanziaria e le spese del Fondo. Le distribuzioni future potrebbero includere reddito da investimenti netti, guadagni in conto capitale e restituzione di capitale. Le caratteristiche fiscali finali saranno determinate dopo la fine dell'anno 2025.
Neuberger Berman High Yield Strategies Fund (NYSE American: NHS) ha declarado una distribuci贸n mensual de $0.0905 por acci贸n de acciones ordinarias. La distribuci贸n se pagar谩 el 31 de enero de 2025, con una fecha de registro y una fecha ex del 15 de enero de 2025.
Bajo su pol铆tica de distribuci贸n nivelada, el Fondo planea mantener distribuciones mensuales regulares de $0.0905 por acci贸n, sujetas a las condiciones del mercado. La sostenibilidad de la distribuci贸n depende de factores como la estabilidad del ingreso de inversiones, los costos de apalancamiento y los gastos del Fondo. Las distribuciones futuras pueden incluir ingresos netos de inversiones, ganancias de capital y retorno de capital. Las caracter铆sticas fiscales finales se determinar谩n despu茅s del cierre del a帽o 2025.
Neuberger Berman High Yield Strategies Fund (NYSE American: NHS)電 欤茧嫻 $0.0905鞚 鞗 氚半嫻旮堨潉 靹犾柛頄堨姷雼堧嫟. 氚半嫻旮堨潃 2025雲 1鞗 31鞚检棎 歆旮夒悩氅, 旮半鞚缄臣 鞝滌櫢鞚检潃 2025雲 1鞗 15鞚检瀰雼堧嫟.
旮夓棳鞚 鞝曥眳鞐 霐半澕, 鞚 旮瓣笀鞚 鞁滌灔 臁瓣贝鞐 霐半澕 欤茧嫻 $0.0905鞚 鞝曣赴 鞗 氚半嫻旮堨潉 鞙犾頃 瓿勴殟鞛呺媹雼. 氚半嫻旮堨潣 歆靻 臧電レ劚鞚 韴瀽 靾橃澋鞚 鞎堨爼靹, 霠堧矂毽 牍勳毄 氚 旮瓣笀鞚 牍勳毄瓿 臧欖潃 鞐煬 鞖旍澑鞐 霐半澕 雼澕歆戨媹雼. 頄ロ泟 氚半嫻旮堨棎電 靾滍埇鞛 靾橃澋, 鞛愲掣 鞚措摑 氚 鞛愲掣 氚橅櫂鞚 韽暔霅 靾 鞛堨姷雼堧嫟. 斓滌 靹鸽 韸轨劚鞚 2025雲 鞐半 鞚错泟鞐 瓴办爼霅╇媹雼.
Neuberger Berman High Yield Strategies Fund (NYSE American: NHS) a d茅clar茅 une distribution mensuelle de 0,0905 $ par action d'actions ordinaires. La distribution sera pay茅e le 31 janvier 2025, avec une date d'enregistrement et une date ex le 15 janvier 2025.
Selon sa politique de distribution r茅guli猫re, le Fonds pr茅voit de maintenir des distributions mensuelles r茅guli猫res de 0,0905 $ par action, sous r茅serve des conditions du march茅. La durabilit茅 de la distribution d茅pend de facteurs tels que la stabilit茅 des revenus d'investissement, les co没ts de levier et les d茅penses du Fonds. Les distributions futures pourraient inclure des revenus d'investissement nets, des gains en capital et un retour de capital. Les caract茅ristiques fiscales finales seront d茅termin茅es apr猫s la fin de l'ann茅e 2025.
Neuberger Berman High Yield Strategies Fund (NYSE American: NHS) hat eine monatliche Aussch眉ttung von $0.0905 pro Aktie der Stammaktien erkl盲rt. Die Aussch眉ttung ist am 31. Januar 2025 zahlbar, mit einem Stichtag und Ex-Tag am 15. Januar 2025.
Gem盲脽 seiner Politik der gleichm盲脽igen Aussch眉ttung plant der Fonds, regelm盲脽ige monatliche Aussch眉ttungen von $0.0905 pro Aktie aufrechtzuerhalten, abh盲ngig von den Marktbedingungen. Die Nachhaltigkeit der Aussch眉ttung h盲ngt von Faktoren wie der Stabilit盲t der Anlageertr盲ge, den Kosten der Hebelwirkung und den Fondsaufwendungen ab. Zuk眉nftige Aussch眉ttungen k枚nnen Nettokapitalertr盲ge, Kapitalgewinne und Kapitalr眉ckzahlungen umfassen. Die endg眉ltigen steuerlichen Merkmale werden nach Ende des Jahres 2025 festgelegt.
- Consistent monthly distribution policy maintained at $0.0905 per share
- Distribution may include return of capital, potentially reducing investor's original investment
- No guarantee of maintaining current distribution rate
- Distribution sustainability dependent on multiple market factors
Insights
This monthly distribution announcement from NHS represents a continuation of their $0.0905 per share level distribution policy. While distribution announcements are routine, the key insight lies in the fund's commitment to maintaining this payout despite market volatility. The distribution yield approximates
The careful wording regarding distribution sources suggests potential return of capital components alongside investment income. This flexibility in distribution composition allows the fund to maintain stable payouts but requires careful monitoring of NAV sustainability. The January timing aligns with typical quarterly rebalancing cycles in fixed income markets, when liquidity and price discovery are optimal.
For investors, the stability mechanism embedded in the level distribution policy provides predictable income streams, though the caveat about distribution sustainability based on leverage costs and fund expenses warrants attention, especially in the current interest rate environment where high-yield spreads and default risks remain key considerations.
Under its level distribution policy, the Fund anticipates that it will make regular monthly distributions, subject to market conditions, of
Due to an effort to maintain a stable distribution amount, the distribution announced today, as well as future distributions, may consist of net investment income, net realized capital gains and return of capital. In compliance with Section 19 of the Investment Company Act of 1940, as amended, a notice would be provided for any distribution that does not consist solely of net investment income. The notice would be for informational purposes and not for tax reporting purposes, and would disclose, among other things, estimated portions of the distribution, if any, consisting of net investment income, capital gains and return of capital. The final determination of the source and tax characteristics of all distributions paid in 2025 will be made after the end of the year.
About Neuberger Berman
Neuberger Berman is an employee-owned, private, independent investment manager founded in 1939 with over 2,800 employees in 26 countries. The firm manages
Statements made in this release that look forward in time involve risks and uncertainties. Such risks and uncertainties include, without limitation, the adverse effect from a decline in the securities markets or a decline in the Fund's performance, a general downturn in the economy, competition from other closed end investment companies, changes in government policy or regulation, inability of the Fund's investment adviser to attract or retain key employees, inability of the Fund to implement its investment strategy, inability of the Fund to manage rapid expansion and unforeseen costs and other effects related to legal proceedings or investigations of governmental and self-regulatory organizations.
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FAQ
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