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Adams Natural Resources Fund Declares Distribution

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Adams Natural Resources Fund (NYSE: PEO) has declared a distribution of $0.51 per share, payable on August 26, 2025, to shareholders of record as of July 28, 2025. The distribution can be received in additional shares of common stock (default option) or cash upon specific election by August 15, 2025.

The distribution sources include 28% from net investment income, 33% from net realized long-term gains, and 39% from return of capital. The Fund's 5-year average annual total return on NAV through June 30, 2025, stands at 21.2%, with an annualized current distribution rate of 8.6%.

Adams Natural Resources Fund (NYSE: PEO) ha annunciato una distribuzione di 0,51 $ per azione, pagabile il 26 agosto 2025 agli azionisti registrati al 28 luglio 2025. La distribuzione può essere ricevuta in azioni ordinarie aggiuntive (opzione predefinita) o in contanti, previa specifica scelta entro il 15 agosto 2025.

Le fonti della distribuzione comprendono 28% da reddito netto da investimenti, 33% da plusvalenze nette realizzate a lungo termine e 39% da restituzione di capitale. Il rendimento totale medio annuo su NAV del Fondo negli ultimi 5 anni, fino al 30 giugno 2025, è del 21,2%, con un tasso di distribuzione annualizzato attuale dell’8,6%.

Adams Natural Resources Fund (NYSE: PEO) ha declarado una distribución de , pagadera el 26 de agosto de 2025 a los accionistas registrados al 28 de julio de 2025. La distribución puede recibirse en acciones ordinarias adicionales (opción predeterminada) o en efectivo si se elige específicamente antes del 15 de agosto de 2025.

Las fuentes de la distribución incluyen 28% de ingresos netos por inversiones, 33% de ganancias netas realizadas a largo plazo y 39% de devolución de capital. El rendimiento total anual promedio a 5 años del Fondo sobre el NAV hasta el 30 de junio de 2025 es del 21,2%, con una tasa de distribución actual anualizada del 8,6%.

Adams Natural Resources Fund (NYSE: PEO)는 주당 0.51달러의 배당금을 선언했으며, 2025년 7월 28일 기준 주주에게 2025년 8월 26일 지급될 예정입니다. 배당금은 기본 옵션인 추가 보통주로 받거나 2025년 8월 15일까지 별도 신청 시 현금으로 받을 수 있습니다.

배당금 출처는 순투자수익의 28%, 장기 순실현 이익의 33%, 자본 반환의 39%를 포함합니다. 2025년 6월 30일까지 5년간 펀드의 순자산가치 대비 연평균 총수익률은 21.2%이며, 연환산 현재 배당률은 8.6%입니다.

Adams Natural Resources Fund (NYSE : PEO) a déclaré une distribution de 0,51 $ par action, payable le 26 août 2025 aux actionnaires inscrits au 28 juillet 2025. La distribution peut être reçue en actions ordinaires supplémentaires (option par défaut) ou en espèces sur demande spécifique avant le 15 août 2025.

Les sources de la distribution comprennent 28 % provenant du revenu net d’investissement, 33 % des plus-values nettes réalisées à long terme et 39 % du retour de capital. Le rendement total annuel moyen sur 5 ans du Fonds sur la valeur liquidative au 30 juin 2025 est de 21,2 %, avec un taux de distribution annuel actuel annualisé de 8,6 %.

Adams Natural Resources Fund (NYSE: PEO) hat eine Ausschüttung von 0,51 $ pro Aktie bekannt gegeben, zahlbar am 26. August 2025 an Aktionäre, die am 28. Juli 2025 im Register stehen. Die Ausschüttung kann standardmäßig in zusätzlichen Stammaktien oder auf ausdrücklichen Wunsch bis zum 15. August 2025 in bar erfolgen.

Die Ausschüttungsquellen setzen sich zusammen aus 28 % aus Nettoanlageerträgen, 33 % aus realisierten langfristigen Nettogewinnen und 39 % aus Kapitalrückzahlungen. Die 5-Jahres-Durchschnittsrendite des Fonds auf den NAV bis zum 30. Juni 2025 beträgt 21,2 %, mit einer annualisierten aktuellen Ausschüttungsquote von 8,6 %.

Positive
  • None.
Negative
  • 39% of current distribution represents return of capital
  • Modest cumulative total return of 2.3% for fiscal year through June 30, 2025

BALTIMORE, July 18, 2025 (GLOBE NEWSWIRE) -- On July 17, 2025, Adams Natural Resources Fund, Inc. (NYSE: PEO) declared a distribution of $0.51 per share payable August 26, 2025 to shareholders of record on July 28, 2025. The distribution is optionally payable in additional shares of common stock (default) or in cash by specific stockholder election received before 4 p.m. (ET) on August 15, 2025, the valuation date. The issue price for shares will be the Fund’s closing NYSE market price on the valuation date.

The Fund’s estimated sources for the distribution to be paid on August 26, 2025 and for all distributions declared in 2025 to date are as follows:

 Payment DateDistribution
per Share
Net
Investment
Income
Net Realized
Short-Term
Gains
Net Realized
Long-Term
Gains
 Return of
Capital
August 26, 2025$0.51$0.14 (28%)$0.00 (0%)$0.17 (33%)$0.20 (39%)
Total YTD 2025$1.56$0.46 (29%)$0.00 (0%)$0.60 (39%)$0.50 (32%)
      

Fund Performance and Distribution Rate Information:

Average Annual Total
Return on NAV for the
5-year period ended on
June 30, 20251
Annualized Current
Distribution Rate
(expressed as a
percentage of NAV as of
June 30, 2025)2
Cumulative Total Return on
NAV for the fiscal year
through June 30, 20251
 Cumulative Fiscal Year
Distribution Rate
(expressed as a
percentage of NAV as of
June 30, 2025)3
21.2%8.6%2.3%6.6%
    

1   Total return is calculated assuming a purchase of a Fund share at the beginning of the period and a sale on the last day of the period at reported net asset value per share, excluding any brokerage commissions. Distributions are assumed to be reinvested at the lower of the net asset value per share or the closing NYSE market price on the distribution’s valuation date for those receiving shares for the distribution. For periods greater than one year, returns are presented on an annualized basis.

2   The Annualized Current Distribution Rate is the current quarter’s distribution rate per share annualized and expressed as a percentage of the Fund’s NAV per share as of June 30, 2025.

3   The Cumulative Fiscal Year Distribution Rate is the distributions per share declared for the current fiscal year  expressed as a percentage of the Fund’s NAV per share as of June 30, 2025.

You should not draw any conclusions about the Fund's investment performance from the amount of the current distribution or from the terms of the Fund's Distribution Policy. The amounts and sources of distributions reported herein are only estimates and are not being provided 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.

About Adams Funds

Since 1929, Adams Funds has consistently helped generations of investors reach their investment goals. Adams Funds is comprised of two closed-end funds, Adams Diversified Equity Fund, Inc. (NYSE: ADX) and Adams Natural Resources Fund, Inc. (NYSE: PEO). The Funds are actively managed by an experienced team with a disciplined approach and have paid dividends for more than 90 years across many market cycles. The Funds are committed to paying a minimum annual distribution rate of 8% of NAV paid evenly each quarter throughout the year, providing reliability for long-term shareholders. A portion of any distribution may be treated as paid from sources other than net income, including but not limited to short-term capital gain, long-term capital gain, and return of capital. The final determination of the source of all distributions for tax reporting purposes in a calendar year, including the percentage of qualified dividend income, will be made after year-end. Shares can be purchased through our transfer agent or through a broker. For more information about Adams Funds, please visit: adamsfunds.com.

For further information: adamsfunds.com/about/contact │800.638.2479


FAQ

What is the amount and payment date of Adams Natural Resources Fund's (PEO) latest distribution?

Adams Natural Resources Fund declared a distribution of $0.51 per share, payable on August 26, 2025, to shareholders of record as of July 28, 2025.

How can PEO shareholders receive their distribution payment?

Shareholders can receive the distribution in additional shares of common stock (default) or in cash by making a specific election before 4 p.m. (ET) on August 15, 2025.

What is the source breakdown of PEO's August 2025 distribution?

The distribution consists of 28% from net investment income, 33% from net realized long-term gains, and 39% from return of capital.

What is Adams Natural Resources Fund's (PEO) 5-year performance and current distribution rate?

The Fund achieved a 21.2% average annual total return on NAV for the 5-year period, with an 8.6% annualized current distribution rate as of June 30, 2025.

How much has PEO distributed in total for 2025 year-to-date?

PEO has distributed a total of $1.56 per share year-to-date in 2025, comprising 29% net investment income, 39% net realized long-term gains, and 32% return of capital.
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