BNY Mellon Municipal Bond Infrastructure Fund, Inc. (NYSE: DMB) Announces Distribution
BNY Municipal Bond Infrastructure Fund (NYSE: DMB) has declared a monthly distribution of $0.0300 per share of common stock. The distribution is payable on May 1, 2025, to shareholders of record as of April 16, 2025, with an ex-dividend date of April 16, 2025.
This distribution maintains the same level as the previous March announcement of $0.0300 per share. The Fund aims to provide regular monthly distributions to common shareholders based on projected performance, though distribution rates may vary depending on market conditions and portfolio performance.
The Fund is managed by BNY Investment Adviser, part of BNY Investments, which manages $2.0 trillion in assets as of December 31, 2024. The parent company, BNY, oversees $52.1 trillion in assets under custody and/or administration.
BNY Municipal Bond Infrastructure Fund (NYSE: DMB) ha dichiarato una distribuzione mensile di $0.0300 per azione di azioni ordinarie. La distribuzione sarà pagabile il 1° maggio 2025, agli azionisti registrati al 16 aprile 2025, con una data di stacco dividendo del 16 aprile 2025.
Questa distribuzione mantiene lo stesso livello dell'annuncio precedente di marzo di $0.0300 per azione. Il Fondo mira a fornire distribuzioni mensili regolari agli azionisti ordinari basate sulle performance previste, anche se i tassi di distribuzione possono variare a seconda delle condizioni di mercato e delle performance del portafoglio.
Il Fondo è gestito da BNY Investment Adviser, parte di BNY Investments, che gestisce $2,0 trilioni di attivi al 31 dicembre 2024. La società madre, BNY, supervisiona $52,1 trilioni di attivi in custodia e/o amministrazione.
BNY Municipal Bond Infrastructure Fund (NYSE: DMB) ha declarado una distribución mensual de $0.0300 por acción de acciones ordinarias. La distribución se pagará el 1 de mayo de 2025, a los accionistas registrados a partir del 16 de abril de 2025, con una fecha de ex-dividendo del 16 de abril de 2025.
Esta distribución mantiene el mismo nivel que el anuncio anterior de marzo de $0.0300 por acción. El Fondo tiene como objetivo proporcionar distribuciones mensuales regulares a los accionistas ordinarios basadas en el rendimiento proyectado, aunque las tasas de distribución pueden variar según las condiciones del mercado y el rendimiento de la cartera.
El Fondo es administrado por BNY Investment Adviser, parte de BNY Investments, que gestiona $2.0 billones en activos a partir del 31 de diciembre de 2024. La empresa matriz, BNY, supervisa $52.1 billones en activos bajo custodia y/o administración.
BNY Municipal Bond Infrastructure Fund (NYSE: DMB)는 주당 $0.0300의 월 배당금을 선언했습니다. 배당금은 2025년 5월 1일에 지급되며, 2025년 4월 16일 기준 주주에게 지급됩니다. 배당금 제외일은 2025년 4월 16일입니다.
이번 배당금은 3월 발표와 동일한 수준인 주당 $0.0300을 유지합니다. 이 펀드는 예상 성과에 따라 보통주 주주에게 정기적인 월 배당금을 제공하는 것을 목표로 하지만, 배당금 비율은 시장 상황과 포트폴리오 성과에 따라 달라질 수 있습니다.
이 펀드는 BNY Investment Adviser에 의해 관리되며, BNY Investments의 일부로 2024년 12월 31일 기준으로 $2.0조의 자산을 관리하고 있습니다. 모회사는 BNY로, $52.1조의 자산을 보관 및/또는 관리하고 있습니다.
BNY Municipal Bond Infrastructure Fund (NYSE: DMB) a déclaré une distribution mensuelle de 0,0300 $ par action d'actions ordinaires. La distribution sera payable le 1er mai 2025, aux actionnaires enregistrés au 16 avril 2025, avec une date ex-dividende du 16 avril 2025.
Cette distribution maintient le même niveau que l'annonce précédente de mars de 0,0300 $ par action. Le Fonds vise à fournir des distributions mensuelles régulières aux actionnaires ordinaires en fonction des performances projetées, bien que les taux de distribution puissent varier en fonction des conditions du marché et de la performance du portefeuille.
Le Fonds est géré par BNY Investment Adviser, qui fait partie de BNY Investments, gérant 2,0 billions de dollars d'actifs au 31 décembre 2024. La société mère, BNY, supervise 52,1 billions de dollars d'actifs sous garde et/ou administration.
BNY Municipal Bond Infrastructure Fund (NYSE: DMB) hat eine monatliche Ausschüttung von $0.0300 pro Aktie der Stammaktien erklärt. Die Ausschüttung ist am 1. Mai 2025 an die Aktionäre zahlbar, die am 16. April 2025 im Aktienregister stehen, mit einem Ex-Dividenden-Datum am 16. April 2025.
Diese Ausschüttung bleibt auf dem gleichen Niveau wie die vorherige Ankündigung im März von $0.0300 pro Aktie. Der Fonds hat das Ziel, regelmäßige monatliche Ausschüttungen an die Stammaktionäre basierend auf der erwarteten Leistung bereitzustellen, obwohl die Ausschüttungsraten je nach Marktbedingungen und Portfolioperformance variieren können.
Der Fonds wird von BNY Investment Adviser verwaltet, der Teil von BNY Investments ist, das zum 31. Dezember 2024 $2,0 Billionen an Vermögenswerten verwaltet. Die Muttergesellschaft, BNY, überwacht $52,1 Billionen an verwahrten und/oder verwalteten Vermögenswerten.
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The Fund intends to make regular monthly distributions to its common shareholders at a level rate based on its projected performance. At times, to maintain a stable level of distributions, the Fund may pay out less than all of its net investment income or, in addition to paying out current net investment income, the Fund may pay out accumulated undistributed income, or may return capital. As market conditions and portfolio performance may change, the rate of distributions on the Fund's shares of common stock and the Fund's distribution policy could change.
Important Information
BNY Mellon Investment Adviser, Inc., the investment adviser for the Fund, is part of BNY Investments. BNY Investments is one of the world’s largest asset managers, with
BNY Investments is a division of BNY, which has
Closed-end funds are traded on the secondary market through one of the stock exchanges. The Fund's investment returns and principal values will fluctuate so that an investor’s shares may be worth more or less than the original cost. Shares of closed-end funds may trade above (a premium) or below (a discount) the net asset value of the fund’s portfolio. There is no assurance that the Fund will achieve its investment objective.
This release is for informational purposes only and should not be considered as investment advice or a recommendation of any particular security.
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For Press Inquiries:
BNY Mellon Investment Adviser, Inc.
Jessica Greaney
jessica.greaney@bny.com
Taylor Ventrice
taylor.ventrice@bny.com
For Other Inquiries:
BNY Mellon Securities Corporation
The National Marketing Desk
240 Greenwich Street
1-800-334-6899
Source: BNY Mellon Municipal Bond Infrastructure Fund, Inc.