Tortoise Capital Announces Increased Distributions for TYG Following Completion of Merger with TEAF
Tortoise Capital announced that Tortoise Energy Infrastructure Corp. (TYG) declared a monthly distribution of $0.475 per share, a 30% increase versus the Fund's prior monthly distributions following completion of the merger between Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF) and TYG.
The distribution target is stated at 10%–15% of average NAV. Payment dates are Nov 28, 2025; Dec 31, 2025; Jan 30, 2026; Feb 27, 2026 for shareholders of record on Nov 21, 2025; Dec 24, 2025; Jan 23, 2026; Feb 20, 2026. For book purposes, the source is estimated at approximately 0%–20% ordinary income with the remainder as return of capital.
Tortoise Capital ha annunciato che Tortoise Energy Infrastructure Corp. (TYG) ha dichiarato una distribuzione mensile di $0,475 per azione, un aumento del 30% rispetto alle distribuzioni mensili precedenti del Fondo a seguito della conclusione della fusione tra Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF) e TYG.
L’obiettivo di distribuzione è indicato al 10%–15% della media del NAV. Le date di pagamento sono 28 nov 2025; 31 dic 2025; 30 gen 2026; 27 feb 2026 per gli azionisti registrati il 21 nov 2025; 24 dic 2025; 23 gen 2026; 20 feb 2026. Per motivi contabili, la fonte è stimata in appena 0%–20% reddito ordinario con il resto come rimborso di capitale.
Tortoise Capital anunció que Tortoise Energy Infrastructure Corp. (TYG) declaró una distribución mensual de $0,475 por acción, un aumento del 30% respecto a las distribuciones mensuales anteriores del Fondo tras la finalización de la fusión entre Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF) y TYG.
El objetivo de distribución se indica en 10%–15% del NAV medio. Las fechas de pago son 28 nov 2025; 31 dic 2025; 30 ene 2026; 27 feb 2026 para los accionistas registrados el 21 nov 2025; 24 dic 2025; 23 ene 2026; 20 feb 2026. Para fines contables, se estima que la fuente es de aproximadamente 0%–20% de ingreso ordinario con el resto como retorno de capital.
Tortoise Capital은 Tortoise Energy Infrastructure Corp. (TYG)가 월별 배당금을 주당 $0.475로 선언했으며, 합병이 완료된 후 펀드의 이전 월별 분배에 비해 30% 증가했다고 발표했습니다. 이 합병은 Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF)와 TYG 간의 합병 후에 이루어졌습니다.
배당 목표는 평균 NAV의 10%–15%로 명시되어 있습니다. 지급 일정은 주주 기록일 2025년 11월 21일; 2025년 12월 24일; 2026년 1월 23일; 2026년 2월 20일에 대해 2025년 11월 28일; 2025년 12월 31일; 2026년 1월 30일; 2026년 2월 27일입니다. 회계 목적상 소스는 약 0%–20%의 일반소득으로 추정되며 나머지는 원금의 반환으로 간주됩니다.
Tortoise Capital a annoncé que Tortoise Energy Infrastructure Corp. (TYG) a déclaré une distribution mensuelle de 0,475 $ par action, une augmentation de 30% par rapport aux distributions mensuelles précédentes du Fonds après l’achèvement de la fusion entre Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF) et TYG.
L’objectif de distribution est indiqué à 10%–15% de la NAV moyenne. Les dates de paiement sont 28 nov. 2025; 31 déc. 2025; 30 janv. 2026; 27 févr. 2026 pour les actionnaires inscrits le 21 nov. 2025; 24 déc. 2025; 23 janv. 2026; 20 févr. 2026. Pour la comptabilité, la source est estimée à environ 0%–20% de revenu ordinaire avec le reste comme retour de capital.
Tortoise Capital gab bekannt, dass Tortoise Energy Infrastructure Corp. (TYG) eine monatliche Ausschüttung von 1,475 $ pro Aktie angekündigt hat, eine 30%-ige Erhöhung gegenüber den bisherigen monatlichen Ausschüttungen des Fonds nach Abschluss der Fusion zwischen dem Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF) und TYG.
Das Ausschüttungsziel wird mit 10%–15% des durchschnittlichen NAV angegeben. Die Zahlungstermine sind 28.11.2025; 31.12.2025; 30.01.2026; 27.02.2026 für Anteilsscheine, die am 21.11.2025; 24.12.2025; 23.01.2026; 20.02.2026 registriert sind. Für Buchhaltungszwecke wird die Quelle auf ungefähr 0%–20% reguläres Einkommen geschätzt, der Rest als Kapitalrückführung.
Tortoise Capital أعلنت أن Tortoise Energy Infrastructure Corp. (TYG) أعلنت عن توزيع شهري قدره $0.475 للسهم، زيادة بمقدار 30% مقارنة بتوزيعات الصندوق الشهرية السابقة بعد إتمام الاندماج بين صندوق Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF) و TY G.
يُذكر هدف التوزيع عند 10%–15% من متوسط صافي قيمة الأصول NAV. تواريخ الدفع هي 28 نوفمبر 2025؛ 31 ديسمبر 2025؛ 30 يناير 2026؛ 27 فبراير 2026 للمساهمين المسجلين في 21 نوفمبر 2025؛ 24 ديسمبر 2025؛ 23 يناير 2026؛ 20 فبراير 2026. لأغراض الدفترية، المصدر مقدر بنحو 0%–20% من الدخل العادي مع الباقي كعائد رأس المال.
- Distribution increased by 30% to $0.475 per share
- Merger completed between TEAF and TYG enabling new distribution policy
- Estimated return of capital comprises the majority of distributions (remainder after 0%–20% ordinary income)
- High distribution target of 10%–15% of average NAV may signal elevated payout level
OVERLAND PARK, KS / ACCESS Newswire / November 11, 2025 / Tortoise Capital announced its closed-end fund, Tortoise Energy Infrastructure Corp., has declared a monthly distribution of
This increase follows, and is a direct result of, the completion of the merger between Tortoise Sustainable and Social Impact Term Fund (NYSE:TEAF) and TYG, as previously announced.
Fund | Ticker | Distribution | Distribution Target of Average NAV | Distribution |
Tortoise Energy Infrastructure Corp. | TYG | Monthly |
TYG monthly distributions are payable on November 28, 2025, December 31, 2025, January 30, 2026, and February 27, 2026, to shareholders of record on the respective dates of November 21, 2025, December 24, 2025, January 23, 2026, and February 20, 2026.
For book purposes, the source of distributions for TYG is estimated to be approximately 0 to
About Tortoise Capital
With approximately
positioned to be at the forefront of the global energy evolution that is under way. Based in Overland Park, Kansas, Tortoise Capital Advisors, L.L.C. is an SEC-registered fund manager that invests primarily in publicly traded companies in the energy and power infrastructure sectors-from production to transportation to distribution. For more information about Tortoise Capital, visit http://www.TortoiseAdvisors.com.
Tortoise Capital Advisors, L.L.C. is the adviser to Tortoise Energy Infrastructure Corp.
For additional information on these funds, please visit cef.tortoisecapital.com.
Cautionary Statement Regarding Forward-Looking Statements
This press release contains certain statements that may include "forward-looking statements" within the meaning of Section 27A of the Securities Act of 1933 and Section 21E of the Securities Exchange Act of 1934. All statements, other than statements of historical fact, included herein are "forward-looking statements." Although the funds and Tortoise Capital Advisors believe that the expectations reflected in these forward-looking statements are reasonable, they do involve assumptions, risks and uncertainties, and these expectations may prove to be incorrect. Actual results could differ materially from those anticipated in these forward-looking statements as a result of a variety of factors, including those discussed in the fund's reports that are filed with the Securities and Exchange Commission. You should not place undue reliance on these forward-looking statements, which speak only as of the date of this press release. Other than as required by law, the funds and Tortoise Capital Advisors do not assume a duty to update this forward-looking statement.
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SOURCE: Tortoise Capital
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