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, maintaining the same rate as October. The distribution is payable on December 2, 2024, to shareholders of record as of November 20, 2024, which is also the ex-dividend date.
The Fund aims to provide regular monthly distributions at a stable rate based on projected performance. BNY Investment Adviser, part of BNY Investments, manages the Fund. BNY Investments oversees $2.1 trillion in assets under management as of September 30, 2024, while its parent company BNY handles $52.1 trillion in assets under custody and/or administration.
Il BNY Municipal Bond Infrastructure Fund (NYSE: DMB) ha dichiarato una distribuzione mensile di $0,0300 per azione di azioni ordinarie, mantenendo lo stesso tasso di ottobre. La distribuzione sarà pagabile il 2 dicembre 2024, agli azionisti registrati al 20 novembre 2024, che è anche la data di stacco del dividendo.
Il Fondo mira a fornire distribuzioni mensili regolari a un tasso stabile basato sulle prestazioni previste. Il BNY Investment Adviser, parte di BNY Investments, gestisce il Fondo. BNY Investments supervisiona $2,1 trilioni di attivi in gestione al 30 settembre 2024, mentre la sua società madre BNY gestisce $52,1 trilioni di attivi in custodia e/o amministrazione.
El BNY Municipal Bond Infrastructure Fund (NYSE: DMB) ha declarado una distribución mensual de $0.0300 por acción de acciones ordinarias, manteniendo la misma tasa que en octubre. La distribución se pagará el 2 de diciembre de 2024, a los accionistas registrados al 20 de noviembre de 2024, que también es la fecha ex-dividendo.
El Fondo tiene como objetivo proporcionar distribuciones mensuales regulares a una tasa estable basada en el rendimiento proyectado. BNY Investment Adviser, parte de BNY Investments, gestiona el Fondo. BNY Investments supervisa $2.1 billones en activos bajo gestión hasta el 30 de septiembre de 2024, mientras que su empresa matriz BNY maneja $52.1 billones en activos bajo custodia y/o administración.
BNY 지방채 인프라 펀드 (NYSE: DMB)는 보통주 당 $0.0300의 월 배당금을 선언하였으며, 이는 10월과 동일한 비율을 유지하고 있습니다. 배당금은 2024년 12월 2일에 지급되며, 2024년 11월 20일 기준의 주주에게 지급되며, 이는 또한 배당금 지급 기산일입니다.
이 펀드는 예상 성과를 기반으로 안정적인 비율로 정기적인 월 배당금을 제공하는 것을 목표로 하고 있습니다. BNY Investment Adviser는 BNY Investments의 일부로, 이 펀드를 관리합니다. BNY Investments는 2024년 9월 30일 기준으로 $2.1 조의 자산을 관리하고 있으며, 모회사인 BNY는 $52.1 조의 자산을 수탁 및/또는 관리하고 있습니다.
Le BNY Municipal Bond Infrastructure Fund (NYSE: DMB) a déclaré une distribution mensuelle de $0,0300 par action d'actions ordinaires, maintenant le même taux qu'en octobre. La distribution sera payable le 2 décembre 2024, aux actionnaires inscrits au 20 novembre 2024, qui est également la date ex-dividende.
Le Fonds vise à fournir des distributions mensuelles régulières à un taux stable basé sur les performances projetées. Le BNY Investment Adviser, partie de BNY Investments, gère le Fonds. BNY Investments supervise $2,1 trillions d'actifs sous gestion au 30 septembre 2024, tandis que sa société mère BNY gère $52,1 trillions d'actifs sous garde et/ou d'administration.
Der BNY Municipal Bond Infrastructure Fund (NYSE: DMB) hat eine monatliche Ausschüttung von $0,0300 pro Aktie von Stammaktien erklärt und hält den gleichen Satz wie im Oktober. Die Ausschüttung ist am 2. Dezember 2024 zahlbar an Aktionäre, die am 20. November 2024 im Aktienregister stehen, was auch das Ex-Dividenden-Datum ist.
Der Fonds zielt darauf ab, regelmäßige monatliche Ausschüttungen zu einem stabilen Satz basierend auf den prognostizierten Leistungen bereitzustellen. BNY Investment Adviser, Teil von BNY Investments, verwaltet den Fonds. BNY Investments verwaltet zum 30. September 2024 $2,1 Billionen an verwaltetem Vermögen, während das Mutterunternehmen BNY $52,1 Billionen an Treuhand- und/oder Verwaltungsvermögen betreut.
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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.
Sue Watt
(212) 815-3757
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.
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