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Franklin Templeton Fund Adviser, LLC Announces Distributions for the Months of December 2024, January and February 2025

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Franklin Templeton Fund Adviser has announced distribution schedules for certain closed-end funds covering December 2024, January and February 2025. The Western Asset Investment Grade Income Fund (PAI) will distribute $0.05150 per share monthly, while the Western Asset Premier Bond Fund (WEA) will distribute $0.07000 per share monthly. The distributions remain unchanged from previous amounts.

Distribution dates are set for December 31, 2024, February 3, 2025, and March 3, 2025, with corresponding record and ex-dividend dates. Shareholders will receive Form 1099-DIV in early 2025 and 2026 for tax reporting purposes.

Franklin Templeton Fund Adviser ha annunciato i programmi di distribuzione per alcuni fondi chiusi relativi a dicembre 2024, gennaio e febbraio 2025. Il Western Asset Investment Grade Income Fund (PAI) distribuirà $0,05150 per azione mensilmente, mentre il Western Asset Premier Bond Fund (WEA) distribuirà $0,07000 per azione mensilmente. Le distribuzioni rimangono invariate rispetto agli importi precedenti.

Le date di distribuzione sono fissate per il 31 dicembre 2024, il 3 febbraio 2025 e il 3 marzo 2025, con relative date di registrazione e stacco del dividendo. Gli azionisti riceveranno il Modulo 1099-DIV all'inizio del 2025 e del 2026 per fini di dichiarazione fiscale.

Franklin Templeton Fund Adviser ha anunciado los calendarios de distribución para ciertos fondos cerrados correspondientes a diciembre de 2024, enero y febrero de 2025. El Western Asset Investment Grade Income Fund (PAI) distribuirá $0.05150 por acción mensualmente, mientras que el Western Asset Premier Bond Fund (WEA) distribuirá $0.07000 por acción mensualmente. Las distribuciones permanecen sin cambios respecto a los montos anteriores.

Las fechas de distribución están establecidas para el 31 de diciembre de 2024, el 3 de febrero de 2025 y el 3 de marzo de 2025, con sus correspondientes fechas de registro y corte de dividendo. Los accionistas recibirán el Formulario 1099-DIV a principios de 2025 y 2026 para propósitos de declaración fiscal.

프랭클린 템플턴 펀드 어드바이저가 2024년 12월, 2025년 1월 및 2월에 대한 특정 폐쇄형 펀드의 분배 일정을 발표했습니다. 웨스턴 자산 투자 등급 소득 펀드 (PAI)는 주당 매달 $0.05150을 분배하고, 웨스턴 자산 프리미어 채권 펀드 (WEA)는 주당 매달 $0.07000을 분배합니다. 분배금은 이전 금액과 동일합니다.

분배 날짜는 2024년 12월 31일, 2025년 2월 3일 및 2025년 3월 3일로 설정되어 있으며, 이에 따른 기록 및 배당락 날짜가 있습니다. 주주들은 세금 보고를 위해 2025년과 2026년 초에 양식 1099-DIV를 받을 것입니다.

Franklin Templeton Fund Adviser a annoncé les calendriers de distribution pour certains fonds fermés couvrant décembre 2024, janvier et février 2025. Le Western Asset Investment Grade Income Fund (PAI) distribuera 0,05150 $ par action chaque mois, tandis que le Western Asset Premier Bond Fund (WEA) distribuera 0,07000 $ par action chaque mois. Les distributions restent inchangées par rapport aux montants précédents.

Les dates de distribution sont fixées au 31 décembre 2024, au 3 février 2025 et au 3 mars 2025, avec les dates correspondantes d'enregistrement et de détachement de dividendes. Les actionnaires recevront le formulaire 1099-DIV début 2025 et 2026 à des fins de déclaration fiscale.

Franklin Templeton Fund Adviser hat die Verteilungstermine für bestimmte geschlossene Fonds für Dezember 2024, Januar und Februar 2025 bekannt gegeben. Der Western Asset Investment Grade Income Fund (PAI) wird monatlich $0,05150 pro Aktie ausschütten, während der Western Asset Premier Bond Fund (WEA) monatlich $0,07000 pro Aktie ausschütten wird. Die Ausschüttungen bleiben unverändert im Vergleich zu zuvor.

Die Ausschüttungsdaten sind auf den 31. Dezember 2024, den 3. Februar 2025 und den 3. März 2025 festgelegt, mit entsprechenden Aufnahme- und Ex-Dividendentagen. Aktionäre erhalten Anfang 2025 und 2026 das Formular 1099-DIV zu steuerlichen Zwecken.

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NEW YORK--(BUSINESS WIRE)-- Franklin Templeton Fund Adviser, LLC announced today that certain closed end funds have declared their distributions for the months of December 2024, January and February 2025.

The following dates apply to the distribution schedule below:

Month

Record Date

Ex-Dividend Date

Payable Date

December

12/23/2024

12/23/2024

12/31/2024

January

1/24/2025

1/24/2025

2/3/2025

February

2/21/2025

2/21/2025

3/3/2025

Ticker

Fund Name

Month

Amount

 

Change from

Previous

Distribution

PAI

Western Asset Investment Grade Income Fund Inc.

December

$0.05150

-

 

 

January

$0.05150

 

 

 

 

February

$0.05150

 

 

WEA

Western Asset Premier Bond Fund

December

$0.07000

-

 

 

January

$0.07000

 

 

 

 

February

$0.07000

 

 

This press release is not for tax reporting purposes but is being provided to announce the amount of each Fund’s distributions that have been declared by the Board of Trustees. If it is estimated that the source of a monthly distribution includes anything other than net investment income, the Fund will provide notice to shareholders containing the estimated sources of the distribution. These notices can be found on the Fund’s website. In early 2025 and early 2026, after definitive information is available, each Fund will send shareholders a Form 1099-DIV, if applicable, specifying how the distributions paid by each Fund during the prior calendar year should be characterized for purposes of reporting the distributions on a shareholder’s tax return (e.g., ordinary income, long-term capital gain or return of capital).

Franklin Templeton Fund Adviser, LLC is an indirect, wholly-owned subsidiary of Franklin Resources, Inc. (“Franklin Resources”).

For more information about the Funds, please call 1-888-777-0102 or consult the Funds’ website at www.franklintempleton.com/investments/options/closed-end-funds. Hard copies of the Funds’ complete audited financial statements are available free of charge upon request.

Data and commentary provided in this press release are for informational purposes only. Franklin Resources and its affiliates do not engage in selling shares of the Funds.

The Funds’ common shares are traded on the New York Stock Exchange. Similar to stocks, Fund share price will fluctuate with market conditions and, at the time of sale, may be worth more or less than the original investment. Shares of closed-end funds often trade at a discount to their net asset value, and can increase an investor’s risk of loss. All investments are subject to risk, including the risk of loss.

INVESTMENT PRODUCTS: NOT FDIC INSURED | NO BANK GUARANTEE | MAY LOSE VALUE

Category: Distribution Related

Source: Franklin Resources, Inc.

Source: Legg Mason Closed End Funds

Investor Contact: Fund Investor Services 1-888-777-0102

Source: Franklin Resources, Inc. and Legg Mason Closed End Funds

FAQ

What is the monthly distribution amount for PAI fund from December 2024 to February 2025?

The Western Asset Investment Grade Income Fund (PAI) will distribute $0.05150 per share monthly for December 2024, January 2025, and February 2025.

When are the payable dates for PAI fund distributions in early 2025?

The payable dates for PAI fund distributions are February 3, 2025 for January's distribution and March 3, 2025 for February's distribution.

Has PAI's distribution amount changed from its previous distribution?

No, PAI's distribution amount of $0.05150 per share remains unchanged from its previous distribution.

What tax documents will PAI shareholders receive for these distributions?

Shareholders will receive Form 1099-DIV in early 2025 and 2026, specifying how the distributions should be characterized for tax reporting purposes.

Western Asset Investment Grade Income Fund Inc.

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