Reaves Utility Income Fund Section 19(a) Notice
The Reaves Utility Income Fund (UTG) has announced its monthly distribution of $0.19 per share paid on April 30, 2025. The distribution breakdown shows:
- 16.64% from net investment income ($0.03162)
- 83.36% from net realized long-term capital gains ($0.15838)
- No return of capital for current distribution
The Fund's fiscal year-to-date performance metrics include an annualized distribution rate of 7.05% and a cumulative total return of 2.05% on NAV. Notably, the Fund has achieved an impressive 5-year average annual total return of 11.21% through March 31, 2025.
The Fund operates under a Managed Distribution Plan, with distributions subject to Board of Trustees review based on market conditions and NAV considerations.
Il Reaves Utility Income Fund (UTG) ha annunciato la sua distribuzione mensile di 0,19 $ per azione, pagata il 30 aprile 2025. La ripartizione della distribuzione è la seguente:
- 16,64% da reddito netto da investimenti (0,03162 $)
- 83,36% da plusvalenze nette realizzate a lungo termine (0,15838 $)
- Nessun ritorno di capitale per la distribuzione corrente
Le metriche di performance del fondo dall'inizio dell'anno fiscale includono un tasso di distribuzione annualizzato del 7,05% e un rendimento totale cumulativo del 2,05% sul NAV. In particolare, il fondo ha raggiunto un notevole rendimento totale medio annuo del 11,21% su 5 anni fino al 31 marzo 2025.
Il fondo opera secondo un Piano di Distribuzione Gestita, con distribuzioni soggette alla revisione del Consiglio di Amministrazione in base alle condizioni di mercato e alle considerazioni sul NAV.
El Reaves Utility Income Fund (UTG) ha anunciado su distribución mensual de 0,19 $ por acción, pagada el 30 de abril de 2025. El desglose de la distribución es el siguiente:
- 16,64% de ingresos netos por inversión (0,03162 $)
- 83,36% de ganancias netas realizadas a largo plazo (0,15838 $)
- No hay devolución de capital para la distribución actual
Las métricas de desempeño del fondo en lo que va del año fiscal incluyen una tasa de distribución anualizada del 7,05% y un rendimiento total acumulado del 2,05% sobre el NAV. Cabe destacar que el fondo ha logrado un impresionante rendimiento total anual promedio a 5 años del 11,21% hasta el 31 de marzo de 2025.
El fondo opera bajo un Plan de Distribución Gestionada, con distribuciones sujetas a la revisión de la Junta de Síndicos según las condiciones del mercado y las consideraciones del NAV.
Reaves Utility Income Fund (UTG)는 2025년 4월 30일에 지급된 주당 0.19달러의 월간 배당금을 발표했습니다. 배당금 구성은 다음과 같습니다:
- 순투자소득에서 16.64% (0.03162달러)
- 순실현 장기 자본이득에서 83.36% (0.15838달러)
- 이번 배당금에는 자본 반환 없음
회계연도 누적 실적 지표로는 연환산 배당률 7.05%와 순자산가치(NAV) 기준 누적 총수익 2.05%가 포함됩니다. 특히, 이 펀드는 2025년 3월 31일까지 5년 평균 연간 총수익률 11.21%을 기록했습니다.
이 펀드는 관리 배당 계획에 따라 운영되며, 배당금은 시장 상황과 NAV 고려사항에 따라 이사회 검토를 받습니다.
Le Reaves Utility Income Fund (UTG) a annoncé sa distribution mensuelle de 0,19 $ par action, versée le 30 avril 2025. La répartition de la distribution est la suivante :
- 16,64 % provenant des revenus nets d’investissement (0,03162 $)
- 83,36 % provenant des plus-values nettes réalisées à long terme (0,15838 $)
- Aucun retour de capital pour la distribution actuelle
Les indicateurs de performance du fonds depuis le début de l’exercice incluent un taux de distribution annualisé de 7,05 % et un rendement total cumulé de 2,05 % sur la valeur liquidative (NAV). Notamment, le fonds a réalisé un impressionnant rendement total annuel moyen sur 5 ans de 11,21 % au 31 mars 2025.
Le fonds fonctionne selon un Plan de Distribution Gérée, les distributions étant soumises à l’examen du Conseil d’Administration en fonction des conditions du marché et des considérations relatives à la NAV.
Der Reaves Utility Income Fund (UTG) hat seine monatliche Ausschüttung von 0,19 $ pro Aktie bekanntgegeben, die am 30. April 2025 ausgezahlt wurde. Die Aufschlüsselung der Ausschüttung lautet:
- 16,64 % aus Nettoanlageerträgen (0,03162 $)
- 83,36 % aus realisierten langfristigen Kapitalgewinnen (0,15838 $)
- Keine Kapitalrückzahlung für die aktuelle Ausschüttung
Die Performancekennzahlen des Fonds seit Beginn des Geschäftsjahres umfassen eine annualisierte Ausschüttungsrendite von 7,05 % und eine kumulierte Gesamtrendite von 2,05 % auf den NAV. Bemerkenswert ist, dass der Fonds bis zum 31. März 2025 eine beeindruckende 5-Jahres-Durchschnittsrendite von 11,21 % erzielt hat.
Der Fonds operiert unter einem Managed Distribution Plan, wobei Ausschüttungen vom Vorstand unter Berücksichtigung der Marktbedingungen und des NAV überprüft werden.
- Strong 5-year average annual total return of 11.21% through March 2025
- 83.36% of current distribution comes from realized long-term capital gains, indicating solid investment performance
- Consistent monthly distribution of $0.19 per share maintained
- Modest YTD cumulative total return of only 2.05% through March 2025
- 27.14% of fiscal year-to-date distributions came from return of capital, which could indicate insufficient earnings to cover distributions
- Current distribution rate of 7.05% may not be sustainable given the low YTD return
Statement Pursuant to Section 19(a) of the Investment Company Act of 1940
DENVER, CO / ACCESS Newswire / April 30, 2025 / On April 30, 2025, the Reaves Utility Income Fund (NYSE American:UTG) (the "Fund"), a closed-end sector fund, paid a monthly distribution on its common stock of
The following table sets forth the estimated amount of the sources of distribution for purposes of Section 19 of the Investment Company Act of 1940, as amended, and the related rules adopted thereunder. In accordance with generally accepted accounting principles ("GAAP"), the Fund estimates the following percentages, of the total distribution amount per share, attributable to (i) current and prior fiscal year net investment income, (ii) net realized short-term capital gain, (iii) net realized long-term capital gain and (iv) return of capital or other capital source as a percentage of the total distribution amount. These percentages are disclosed for the current distribution as well as the fiscal year-to-date cumulative distribution amount per share for the Fund.
Current Distribution from: |
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| Per Share ($) |
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| % |
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Net Investment Income |
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| 0.03162 |
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| 16.64 | % |
Net Realized Short-Term Capital Gain |
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| 0.00000 |
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| 0.00 | % |
Net Realized Long-Term Capital Gain |
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| 0.15838 |
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| 83.36 | % |
Return of Capital or other Capital Source |
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| 0.00000 |
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| 0.00 | % |
Total (per common share) |
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| 0.19000 |
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| 100.00 | % |
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Fiscal Year-to-Date Cumulative |
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Distributions from: |
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| Per Share ($) |
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| % |
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Net Investment Income |
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| 0.18168 |
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| 15.94 | % |
Net Realized Short-Term Capital Gain |
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| 0.01883 |
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| 1.65 | % |
Net Realized Long-Term Capital Gain |
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| 0.63012 |
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| 55.27 | % |
Return of Capital or other Capital Source |
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| 0.30937 |
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| 27.14 | % |
Total (per common share) |
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| 1.14000 |
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| 100.00 | % |
The timing and character of distributions for federal income tax purposes are determined in accordance with income tax regulations which may differ from GAAP. As such, all or a portion of this distribution may be reportable as taxable income on your 2025 federal income tax return. The final tax character of any distribution declared in 2025 will be determined in January 2026 and reported to you on IRS Form 1099-DIV.
The amounts and sources of distributions reported in this 19(a) Notice are only estimates and not for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes. The Fund estimates that it has distributed more than its income and net realized capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund's investment performance and should not be confused with 'yield' or 'income.'
Presented below are return figures, based on the change in the Fund's Net Asset Value per share ("NAV"), compared to the annualized distribution rate for this current distribution as a percentage of the NAV on the last day of the month prior to distribution record date.
Fund Performance & Distribution Information
Fiscal Year to Date (11/01/2024 through 3/31/25) |
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Annualized Distribution Rate as a Percentage of NAV^ |
| 7.05 | % |
Cumulative Distribution Rate on NAV^+ |
| 3.53 | % |
Cumulative Total Return on NAV* |
| 2.05 | % |
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Average Annual Total Return on NAV for the 5 Year Period Ended 3/31/25** |
| 11.21 | % |
^ Based on the Fund's NAV as of March 31, 2025.
+Cumulative distribution rate is based on distributions paid to date for the period November 1, 2024 through April 30, 2025.
*Cumulative fiscal year-to-date return is based on the change in NAV including distributions paid and assuming reinvestment of these distributions for the period November 1, 2024 through March 31, 2025.
**The 5 year average annual total return is based on change in NAV including distributions paid and assuming reinvestment of these distributions and is through the last business day of the month prior to the month of the current distribution record date.
While the NAV performance may be indicative of the Fund's investment performance, it does not measure the value of a shareholder's investment in the Fund. The value of a shareholder's investment in the Fund is determined by the Fund's market price, which is based on the supply and demand for the Fund's shares in the open market. Past performance does not guarantee future results. Shareholders should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund's Managed Distribution Plan.
Furthermore, the Board of Trustees reviews the amount of any potential distribution and the income, capital gain or capital available. The Board of Trustees will continue to monitor the Fund's distribution level, taking into consideration the Fund's net asset value and the financial market environment. The Fund's distribution policy is subject to modification by the Board of Trustees at any time. The distribution rate should not be considered the dividend yield or total return on an investment in the Fund.
Paralel Distributors LLC, FINRA Member Firm.
Contact info:
Website: https://www.utilityincomefund.com
Email: reavesclientinquiries@paralel.com
SOURCE: Reaves Utility Income Fund
View the original press release on ACCESS Newswire