DoubleLine Opportunistic Credit Fund Declares January 2025 Distribution
The DoubleLine Opportunistic Credit Fund (DBL) has announced its January 2025 distribution schedule. The Fund, which trades on the New York Stock Exchange, will distribute $0.11 per share for January 2025.
The distribution schedule is as follows:
- Declaration Date: Thursday, January 2, 2025
- Ex-Dividend Date: Wednesday, January 15, 2025
- Record Date: Wednesday, January 15, 2025
- Payment Date: Friday, January 31, 2025
The Fund notes that distributions may include ordinary income, long-term capital gains, or return of capital. The final tax characteristics of these distributions will be determined at the end of the taxable year, with shareholders receiving Form 1099-DIV in early 2026 for tax reporting purposes.
Il DoubleLine Opportunistic Credit Fund (DBL) ha annunciato il programma di distribuzione per gennaio 2025. Il fondo, che è quotato alla New York Stock Exchange, distribuirà $0.11 per azione per gennaio 2025.
Il programma di distribuzione è il seguente:
- Data di dichiarazione: giovedì 2 gennaio 2025
- Data ex-dividendo: mercoledì 15 gennaio 2025
- Data di registrazione: mercoledì 15 gennaio 2025
- Data di pagamento: venerdì 31 gennaio 2025
Il fondo osserva che le distribuzioni possono includere reddito ordinario, guadagni in conto capitale a lungo termine o rimborso di capitale. Le caratteristiche fiscali finali di queste distribuzioni saranno determinate alla fine dell'anno fiscale, con gli azionisti che riceveranno il modulo 1099-DIV all'inizio del 2026 per scopi di dichiarazione fiscale.
El DoubleLine Opportunistic Credit Fund (DBL) ha anunciado su cronograma de distribución para enero de 2025. El fondo, que cotiza en la Bolsa de Nueva York, distribuirá $0.11 por acción en enero de 2025.
El cronograma de distribución es el siguiente:
- Fecha de declaración: jueves 2 de enero de 2025
- Fecha ex-dividendo: miércoles 15 de enero de 2025
- Fecha de registro: miércoles 15 de enero de 2025
- Fecha de pago: viernes 31 de enero de 2025
El fondo señala que las distribuciones pueden incluir ingresos ordinarios, ganancias de capital a largo plazo o retorno de capital. Las características fiscales finales de estas distribuciones se determinarán al final del año fiscal, y los accionistas recibirán el formulario 1099-DIV a principios de 2026 para fines de declaración de impuestos.
더블라인 기회적 신용 펀드 (DBL)이 2025년 1월 분배 일정을 발표했습니다. 이 펀드는 뉴욕 증권 거래소에 상장되어 있으며, 2025년 1월에 주당 $0.11를 분배할 예정입니다.
분배 일정은 다음과 같습니다:
- 선언일: 2025년 1월 2일 목요일
- 배당락일: 2025년 1월 15일 수요일
- 기록일: 2025년 1월 15일 수요일
- 지급일: 2025년 1월 31일 금요일
펀드는 분배가 일반 소득, 장기 자본 이익 또는 자본 환급을 포함할 수 있음을 알립니다. 이러한 분배의 최종 세금 특성은 과세 연도 말에 결정되며, 주주들은 세금 신고 목적을 위해 2026년 초에 1099-DIV 양식을 받을 것입니다.
Le DoubleLine Opportunistic Credit Fund (DBL) a annoncé son calendrier de distribution pour janvier 2025. Le fonds, qui est coté à la Bourse de New York, distribuera 0,11 $ par action pour janvier 2025.
Le calendrier de distribution est le suivant :
- Date de déclaration : jeudi 2 janvier 2025
- Date ex-dividende : mercredi 15 janvier 2025
- Date de clôture : mercredi 15 janvier 2025
- Date de paiement : vendredi 31 janvier 2025
Le fonds note que les distributions peuvent inclure des revenus ordinaires, des gains en capital à long terme ou un remboursement de capital. Les caractéristiques fiscales finales de ces distributions seront déterminées à la fin de l'année fiscale, les actionnaires recevant le formulaire 1099-DIV début 2026 à des fins de déclaration fiscale.
Der DoubleLine Opportunistic Credit Fund (DBL) hat seinen Verteilungsplan für Januar 2025 bekannt gegeben. Der Fonds, der an der New York Stock Exchange gehandelt wird, wird für Januar 2025 $0.11 pro Aktie verteilen.
Der Verteilungsplan lautet wie folgt:
- Deklarationsdatum: Donnerstag, 2. Januar 2025
- Ex-Dividenden-Datum: Mittwoch, 15. Januar 2025
- Record-Datum: Mittwoch, 15. Januar 2025
- Zahlungsdatum: Freitag, 31. Januar 2025
Der Fonds weist darauf hin, dass die Ausschüttungen ordentliche Einkünfte, langfristige Kapitalgewinne oder Rückzahlung von Kapital umfassen können. Die endgültigen steuerlichen Merkmale dieser Ausschüttungen werden am Ende des Steuerjahres bestimmt, wobei die Aktionäre Anfang 2026 das Formular 1099-DIV für Steuerberichterstattungszwecke erhalten.
- None.
- None.
January 2025 | |
Declaration | Thursday, Jan. 2, 2025 |
Ex-Dividend | Wednesday, Jan. 15, 2025 |
Record | Wednesday, Jan. 15, 2025 |
Payment | Friday, Jan. 31, 2025 |
This news release is not for tax reporting purposes. The release has been issued to announce the amount and timing of the distributions declared by the Board of Trustees. There is a possibility that distributions may include ordinary income, long-term capital gains or return of capital. The amount of distributable income and the tax characteristics of the distributions are determined at the end of the taxable year. In early 2026, the Fund will send shareholders a Form 1099-DIV specifying how the distributions paid by the Fund during the prior calendar year should be characterized for purposes of reporting the distributions on a shareholder's tax return.
About DoubleLine Opportunistic Credit Fund
The DoubleLine Opportunistic Credit Fund (the "Fund") is a diversified, closed-end management investment company. The Fund's investment objective is to seek high total investment return by providing a high level of current income and the potential for capital appreciation. There is no guarantee that the Fund will achieve its investment objective. Investing in the Fund involves the risk of principal loss.
About DoubleLine Capital LP
DoubleLine Capital is an investment adviser registered under the Investment Advisers Act of 1940. DoubleLine's offices can be reached by telephone at (813) 791-7333 or by email at info@doubleline.com. Media can reach DoubleLine by email at media@doubleline.com. DoubleLine® is a registered trademark of DoubleLine Capital LP.
To read about the DoubleLine Opportunistic Credit Fund, please access the Annual Report at www.doubleline.com or call 877-DLINE11 (877-354-6311) to receive a copy. Investors should consider the Fund's investment objective, risks, charges and expenses carefully before investing. An investment in the Fund should not constitute a complete investment program.
This document is not an offer to sell securities or the solicitation of an offer to buy securities, nor shall there be any sale or offer of these securities, in any jurisdiction where such sale or offer is not permitted.
Fund investing involves risk. Principal loss is possible.
Shares of closed-end investment companies frequently trade at a discount to their net asset value, which may increase investors' risk of loss. This risk may be greater for investors expecting to sell their shares in a relatively short period after the completion of the public offering. There are risks associated with investment in the fund.
Investments in debt securities typically decline in value when interest rates rise. This risk is usually greater for longer-term debt securities. Investments in asset-backed and mortgage-backed securities include additional risks that investors should be aware of including credit risk, prepayment risk, possible illiquidity and default, as well as increased susceptibility to adverse economic developments.
Past performance is no guarantee of future results. The fund may invest in foreign securities which involve greater volatility and political, economic and currency risks and differences in accounting methods. These risks are greater for investments in emerging markets. Investments in lower rated and non-rated securities present a great risk of loss to principal and interest than higher rated securities. Investment strategies may not achieve the desired results due to implementation lag, other timing factors, portfolio management decisions-making, economic or market conditions or other unanticipated factors. In addition, the Fund may invest in other asset classes and investments such as, among others, REITs, credit default swaps, short sales, derivatives and smaller companies which include additional risks. The DoubleLine Opportunistic Credit Fund (the "Fund") is a diversified, closed-end management investment company.
This material may include statements that constitute "forward-looking statements" under the
Distributions include all distribution payments regardless of source and may include net income, capital gains, and/or return of capital (ROC). ROC should not be confused with yield or income. A Fund's Section 19a-1 Notice, if applicable, contains additional distribution composition information and may be obtained by visiting www.doubleline.com. Final determination of a distribution's tax character will be made on Form 1099 DIV and sent to shareholders. On a tax basis, as of Dec. 31, 2024, the estimated component of the cumulative distribution for the fiscal year to date would include an estimated return of capital of
Any tax or legal information provided is merely a summary of our understanding and interpretation of some of the current income tax regulations and is not exhaustive. Investors must consult their tax advisor or legal counsel for advice and information concerning their particular situation. Neither the Fund nor any of its representatives may give legal or tax advice.
Foreside Funds Services, LLC provides marketing review services for DoubleLine Capital LP.
©2025 DoubleLine Capital LP.
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SOURCE DoubleLine
FAQ
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