Cohen & Steers Infrastructure Fund, Inc. Declares Distributions for November and December 2025
Cohen & Steers Infrastructure Fund (NYSE:CNS) declared monthly distributions of $0.155 per share for its November and December 2025 payments under its managed distribution plan.
The November ex-dividend/record date is Nov. 12, 2025 with payable date Nov. 28, 2025; the December ex-dividend/record date is Dec. 9, 2025 with payable date Dec. 31, 2025. The plan operates under exemptive relief from the SEC and allows the fund flexibility to realize and distribute long-term capital gains monthly.
The Board may amend or suspend the policy, which could affect the market price. Distributions may include net investment income, long- and short-term capital gains, and/or return of capital; final tax characterizations depend on year-end reporting.
Cohen & Steers Infrastructure Fund (NYSE:CNS) ha dichiarato distribuzioni mensili di $0.155 per azione per i pagamenti di novembre e dicembre 2025 ai sensi del suo piano di distribuzione gestito.
La data ex-dividendo/record per novembre è 11 novembre 2025 con data di pagamento 28 novembre 2025; la data ex-dividendo/record per dicembre è 9 dicembre 2025 con data di pagamento 31 dicembre 2025. Il piano opera con esenzione dalla SEC e permette al fondo una flessibilità per realizzare e distribuire guadagni in capitale a lungo termine mensilmente.
Il Consiglio può modificare o sospendere la politica, cosa che potrebbe influire sul prezzo di mercato. Le distribuzioni possono includere reddito netto da investimenti, plusvalenze a lungo e breve termine e/o rimborso del capitale; le caratterizzazioni fiscali definitive dipendono dai report di fine anno.
Fondo Cohen & Steers Infrastructure Fund (NYSE:CNS) ha declarado distribuciones mensuales de $0.155 por acción para sus pagos de noviembre y diciembre de 2025 conforme a su plan de distribución gestionada.
La fecha de ex-dividendo/registro de noviembre es 12 de noviembre de 2025 con fecha de pago 28 de noviembre de 2025; la fecha de ex-dividendo/registro de diciembre es 9 de diciembre de 2025 con fecha de pago 31 de diciembre de 2025. El plan opera bajo exención de la SEC y otorga al fondo flexibilidad para realizar y distribuir ganancias de capital a largo plazo mensualmente.
La Junta puede enmendar o suspender la política, lo que podría afectar el precio de mercado. Las distribuciones pueden incluir ingresos netos de inversión, ganancias de capital a largo y corto plazo y/o devolución de capital; las caracterizaciones fiscales finales dependen de los informes de fin de año.
Cohen & Steers Infrastructure Fund (NYSE:CNS)는 관리 배당 계획에 따라 2025년 11월 및 12월 분배를 주당 $0.155로 선언했습니다.
11월의 배당락/기록일은 2025년 11월 12일, 지급일은 2025년 11월 28일; 12월의 배당락/기록일은 2025년 12월 9일, 지급일은 2025년 12월 31일입니다. 이 계획은 SEC의 면책 허가 하에 운영되며 펀드가 매월 장기 자본 이익을 실현하고 분배할 수 있는 유연성을 제공합니다.
이사회는 정책을 수정 또는 중단할 수 있으며, 이는 시장 가격에 영향을 미칠 수 있습니다. 배당은 순투자 소득, 장기 및 단기 자본 이득, 그리고/또는 자본의 반환을 포함할 수 있으며 최종 세금 성격은 연말 보고에 따라 다릅니다.
Cohen & Steers Infrastructure Fund (NYSE:CNS) a annoncé des distributions mensuelles de $0,155 par action pour ses paiements de novembre et décembre 2025 dans le cadre de son plan de distribution géré.
La date ex-dividende/éligible de novembre est le 12 novembre 2025 avec une date de paiement le 28 novembre 2025; la date ex-dividende/éligible de décembre est 9 décembre 2025 avec une date de paiement le 31 décembre 2025. Le plan fonctionne sous une dérogation de la SEC et permet au fonds une flexibilité pour réaliser et distribuer des gains en capital à long terme mensuellement.
Le conseil peut modifier ou suspendre la politique, ce qui pourrait affecter le cours du marché. Les distributions peuvent inclure les revenus nets d'investissement, les gains en capital à long et à court terme et/ou le retour de capital; les characterisations fiscales finales dépendent des rapports de fin d'année.
Cohen & Steers Infrastructure Fund (NYSE:CNS) hat monatliche Ausschüttungen von $0.155 pro Aktie für seine November- und Dezemberzahlungen 2025 gemäß seinem verwalteten Ausschüttungsplan angekündigt.
Der Ex-Dividenden/Record Date für November ist 11. November 2025 mit Zahlungsdatum 28. November 2025; der Ex-Dividenden/Record Date für Dezember ist 9. Dezember 2025 mit Zahlungsdatum 31. Dezember 2025. Der Plan arbeitet unter einer Befreiung durch die SEC und ermöglicht dem Fonds die Flexibilität, monatlich langfristige Kapitalgewinne zu realisieren und zu verteilen.
Der Vorstand kann die Richtlinie ändern oder aussetzen, was den Marktpreis beeinflussen könnte. Ausschüttungen können Nettokapitalerträge, Lang- und Kurzfristige Kapitalgewinne sowie Kapitals Rückzahlungen umfassen; endgültige steuerliche Charakterisierungen hängen von der Jahresendabrechnung ab.
صندوق Cohen & Steers Infrastructure Fund (NYSE:CNS) أعلن توزيعات شهرية قدرها $0.155 للسهم لدفعي نوفمبر وديسمبر 2025 وفقاً لخطة التوزيع المدارة الخاصة به.
تاريخ ما قبل توزيع/السجل لشهر نوفمبر هو 12 نوفمبر 2025 مع تاريخ الدفع 28 نوفمبر 2025; تاريخ ما قبل توزيع/السجل لشهر ديسمبر هو 9 ديسمبر 2025 مع تاريخ الدفع 31 ديسمبر 2025. تعمل الخطة بموجب إعفاء من هيئة الأوراق المالية وتمنح الصندوق مرونة لتحقيق وتوزيع أرباح رأس المال طويل الأجل شهرياً.
قد يقوم المجلس بتعديل السياسة أو تعليقها، وهو ما قد يؤثر على سعر السوق. قد تشمل التوزيعات صافي دخل الاستثمار، مكاسب رأس المال الطويلة والقصيرة الأجل، و/أو عودة رأس المال؛ الاعتماد النهائي للطبيعة الضريبية يعتمد على تقارير نهاية العام.
Cohen & Steers Infrastructure Fund (NYSE:CNS) 根据其管理分配计划宣布,2025年11月和12月的月度分配为每股$0.155美元。
11月的除息/记录日为 2025年11月12日,给付日为 2025年11月28日;12月的除息/记录日为 2025年12月9日,给付日为 2025年12月31日。该计划在SEC豁免下运作,允许基金每月实现并分配长期资本收益的灵活性。
董事会可以修改或暂停此政策,可能影响市场价格。分配可能包括投资净收入、长期和短期资本利得及/或资本回报;最终的税务性质取决于年末报告。
- Monthly cash distribution of $0.155 per share
- Predictable payout schedule with specific ex/record and payable dates
- Managed distribution plan backed by SEC exemptive relief
- Board may amend or suspend plan, potentially reducing market price
- Distributions may be return of capital, affecting tax basis
- Monthly notices are informational only and not for tax filing
|
Ticker |
Fund Name |
Monthly |
|
UTF |
Cohen & Steers Infrastructure Fund, Inc. |
|
The distributions will be made on the following schedule:
|
Month |
Ex-Dividend/ |
Payable Date |
|
November |
Nov. 12, 2025 |
Nov. 28, 2025 |
|
December |
Dec. 09, 2025 |
Dec. 31, 2025 |
The Fund declared its monthly distributions pursuant to the Fund's managed distribution plan. The Fund implemented a managed distribution policy in accordance with exemptive relief issued by the Securities and Exchange Commission. The policy gives the Fund greater flexibility to realize long-term capital gains throughout the year and to distribute those gains on a regular monthly basis to shareholders. Information can also be found on the Funds' website at cohenandsteers.com. The Board of Directors of the Fund may amend, terminate or suspend the managed distribution policy at any time, which could have an adverse effect on the market price of the Fund's shares.
Distributions of the Fund's investments, if any, in real estate investment trusts (REITs), master limited partnerships (MLPs) and/or closed-end funds (CEFs) may later be characterized as capital gains and/or a return of capital, depending on the character of the dividends reported to the Fund after year-end by the REITs, MLPs and CEFs held by the Fund.
The Fund's distributions may include net investment income, long-term capital gains, short-term capital gains and/or return of capital. Under the plan, prior to the payment date of the distribution every month, the Fund will issue a press release and a notice containing information about the amount and sources of the distribution and other related information to shareholders of record on the record date. Please note that the notice is not provided for tax reporting purposes but for informational purposes only. Information can also be found on the Fund's website at cohenandsteers.com.
Shareholders should not use the information provided in preparing their tax returns. Shareholders will receive a Form 1099-DIV for the calendar year indicating how to report Fund distributions for federal income tax purposes.
Investors should consider the investment objectives, risks, charges and expense of the fund carefully before investing. You can obtain the Fund's most recent periodic reports, when available, and other regulatory filings by contacting your financial advisor or visiting cohenandsteers.com. These reports and other filings can be found on the Securities and Exchange Commission's EDGAR Database. You should read these reports and other filings carefully before investing.
About Cohen & Steers. Cohen & Steers is a leading global investment manager specializing in real assets and alternative income, including listed and private real estate, preferred securities, infrastructure, resource equities, commodities, as well as multi-strategy solutions. Founded in 1986, the firm is headquartered in
Forward-Looking Statements
This press release and other statements that Cohen & Steers may make may contain 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, which reflect the company's current views with respect to, among other things, its operations and financial performance. You can identify these forward-looking statements by the use of words such as "outlook," "believes," "expects," "potential," "continues," "may," "will," "should," "seeks," "approximately," "predicts," "intends," "plans," "estimates," "anticipates," or the negative versions of these words or other comparable words. Such forward-looking statements are subject to various risks and uncertainties.
Accordingly, there are or will be important factors that could cause actual outcomes or results to differ materially from those indicated in these statements. The company undertakes no obligation to publicly update or review any forward-looking statement, whether as a result of new information, future developments or otherwise.
Website: https://www.cohenandsteers.com/
Symbol: (NYSE: CNS)
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SOURCE Cohen & Steers, Inc.