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NEUBERGER BERMAN REAL ESTATE SECURITIES INCOME FUND ANNOUNCES DECLARATION OF REGULAR MONTHLY DISTRIBUTION

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Neuberger Berman Real Estate Securities Income Fund (NYSE American: NRO) has declared a monthly distribution of $0.0312 per share of common stock. The distribution will be paid on June 30, 2025, with a record and ex-date of June 16, 2025. The Fund maintains a level distribution policy, aiming to make regular monthly distributions at this amount, subject to market conditions. The distributions may include net investment income, net realized capital gains, and return of capital. The Fund's ability to maintain this distribution rate depends on factors including investment income stability, capital gains availability, leverage costs, and other Fund expenses. Final tax characteristics of 2025 distributions will be determined after year-end.
Il Neuberger Berman Real Estate Securities Income Fund (NYSE American: NRO) ha dichiarato una distribuzione mensile di 0,0312 USD per azione ordinaria. La distribuzione sarà pagata il 30 giugno 2025, con data record ed ex-data fissate al 16 giugno 2025. Il Fondo adotta una politica di distribuzione costante, con l'obiettivo di effettuare distribuzioni mensili regolari di questo importo, soggette alle condizioni di mercato. Le distribuzioni possono includere reddito netto da investimenti, plusvalenze nette realizzate e restituzione di capitale. La capacità del Fondo di mantenere questo tasso di distribuzione dipende da fattori quali la stabilità del reddito da investimenti, la disponibilità di plusvalenze, i costi di leva finanziaria e altre spese del Fondo. Le caratteristiche fiscali finali delle distribuzioni del 2025 saranno determinate dopo la chiusura dell'anno.
El Neuberger Berman Real Estate Securities Income Fund (NYSE American: NRO) ha declarado una distribución mensual de 0,0312 USD por acción común. La distribución se pagará el 30 de junio de 2025, con fecha de registro y ex-dividendo el 16 de junio de 2025. El Fondo mantiene una política de distribución constante, con el objetivo de realizar distribuciones mensuales regulares por este monto, sujetas a las condiciones del mercado. Las distribuciones pueden incluir ingresos netos por inversiones, ganancias netas realizadas de capital y devolución de capital. La capacidad del Fondo para mantener esta tasa de distribución depende de factores como la estabilidad de los ingresos por inversiones, la disponibilidad de ganancias de capital, los costos del apalancamiento y otros gastos del Fondo. Las características fiscales finales de las distribuciones de 2025 se determinarán después del cierre del año.
Neuberger Berman Real Estate Securities Income Fund(NYSE American: NRO)는 보통주 1주당 월 배당금 0.0312달러를 선언했습니다. 배당금은 2025년 6월 30일에 지급되며, 기록일과 배당락일은 2025년 6월 16일입니다. 이 펀드는 시장 상황에 따라 이 금액으로 정기적인 월 배당을 목표로 하는 일정 배당 정책을 유지하고 있습니다. 배당금은 순투자소득, 순실현자본이익, 자본 반환을 포함할 수 있습니다. 이 배당률을 유지하는 펀드의 능력은 투자소득 안정성, 자본이익 가용성, 레버리지 비용 및 기타 펀드 비용 등 다양한 요인에 달려 있습니다. 2025년 배당금의 최종 세무 특성은 연말 이후에 결정될 예정입니다.
Le Neuberger Berman Real Estate Securities Income Fund (NYSE American : NRO) a déclaré une distribution mensuelle de 0,0312 $ par action ordinaire. La distribution sera versée le 30 juin 2025, avec une date d'enregistrement et une date ex-dividende fixées au 16 juin 2025. Le Fonds maintient une politique de distribution stable, visant à effectuer des distributions mensuelles régulières à ce montant, sous réserve des conditions du marché. Les distributions peuvent inclure des revenus nets d'investissement, des plus-values nettes réalisées et un remboursement de capital. La capacité du Fonds à maintenir ce taux de distribution dépend de facteurs tels que la stabilité des revenus d'investissement, la disponibilité des plus-values, les coûts de l'effet de levier et d'autres dépenses du Fonds. Les caractéristiques fiscales finales des distributions de 2025 seront déterminées après la clôture de l'année.
Der Neuberger Berman Real Estate Securities Income Fund (NYSE American: NRO) hat eine monatliche Ausschüttung von 0,0312 USD je Stammaktie angekündigt. Die Ausschüttung erfolgt am 30. Juni 2025, mit Stichtag und Ex-Datum am 16. Juni 2025. Der Fonds verfolgt eine Politik konstanter Ausschüttungen und strebt an, regelmäßige monatliche Ausschüttungen in dieser Höhe vorzunehmen, vorbehaltlich der Marktbedingungen. Die Ausschüttungen können Nettoanlageerträge, realisierte Nettokapitalgewinne und Kapitalrückzahlungen umfassen. Die Fähigkeit des Fonds, diese Ausschüttungsrate aufrechtzuerhalten, hängt von Faktoren wie der Stabilität der Anlageerträge, der Verfügbarkeit von Kapitalgewinnen, den Kosten der Fremdfinanzierung und anderen Fondsausgaben ab. Die endgültigen steuerlichen Merkmale der Ausschüttungen für 2025 werden nach Jahresende bestimmt.
Positive
  • Regular monthly distribution maintained at $0.0312 per share
  • Commitment to level distribution policy providing consistent income to shareholders
Negative
  • No guarantee of maintaining current distribution rate
  • Distributions may include return of capital, which could erode investment principal
  • Fund performance dependent on multiple factors including leverage costs and market conditions

NEW YORK, May 30, 2025 /PRNewswire/ -- Neuberger Berman Real Estate Securities Income Fund Inc. (NYSE American: NRO) (the "Fund") has announced a distribution declaration of $0.0312 per share of common stock. The distribution announced today is payable on June 30, 2025, has a record date of June 16, 2025, and has an ex-date of June 16, 2025.

Under its level distribution policy, the Fund anticipates that it will make regular monthly distributions, subject to market conditions, of $0.0312 per share of common stock, unless further action is taken to determine another amount. There is no assurance that the Fund will always be able to pay a distribution of any particular amount or that a distribution will consist of only net investment income. The Fund's ability to maintain its current distribution rate will depend on a number of factors, including the amount and stability of income received from its investments, availability of capital gains, the amount of leverage employed by the Fund, the cost of leverage and the level of other Fund fees and expenses.

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 $515 billion of equities, fixed income, private equity, real estate and hedge fund portfolios for global institutions, advisors and individuals. Neuberger Berman's investment philosophy is founded on active management, fundamental research and engaged ownership. Neuberger Berman has been named by Pensions & Investments as the #1 or #2 Best Place to Work in Money Management for each of the last eleven years (firms with more than 1,000 employees). Visit www.nb.com for more information. Data as of March 31, 2025.

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.

Contact:
Neuberger Berman Investment Advisers LLC
Investor Information
(877) 461-1899

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SOURCE Neuberger Berman

FAQ

What is the dividend amount for Neuberger Berman Real Estate Securities Income Fund (NRO) in June 2025?

NRO declared a monthly distribution of $0.0312 per share for June 2025

When is the ex-dividend date for NRO's June 2025 distribution?

The ex-dividend date for NRO's June 2025 distribution is June 16, 2025

What is NRO's distribution policy?

NRO maintains a level distribution policy, aiming to make regular monthly distributions of $0.0312 per share, subject to market conditions

What are the sources of NRO's distributions?

NRO's distributions may consist of net investment income, net realized capital gains, and return of capital

When will the final tax characteristics of NRO's 2025 distributions be determined?

The final tax characteristics of NRO's 2025 distributions will be determined after the end of the year
Neuberger Berman Real Est Securities Inc

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