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InfraCap REIT Preferred ETF (NYSE Arca: PFFR) Declares Monthly Dividend

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The InfraCap REIT Preferred ETF (NYSE Arca: PFFR) has announced a monthly cash distribution of $0.12 per share, translating to $1.44 on an annualized basis. This distribution is scheduled for payment on May 28, 2021, to shareholders recorded as of May 21, 2021. The ex-date for this distribution is May 20, 2021. Infrastructure Capital Advisors aims to continue declaring monthly dividends, although future distributions are planned but not guaranteed. The next distribution is expected in June 2021.

Positive
  • Monthly distribution declared at $0.12 per share.
  • Annualized dividend yield of $1.44 per share.
  • Next distribution expected in June 2021.
Negative
  • None.

NEW YORK, May 19, 2021 /PRNewswire/ -- The InfraCap REIT Preferred ETF (NYSE Arca: PFFR) (the "Fund") has declared a monthly distribution of $0.12 per share ($1.44 per share on an annualized basis).  The distribution will be paid May 28, 2021 to shareholders of record as of the close of business May 21, 2021.

PFFR Cash Distribution:

  • Ex-Date: Thursday, May 20, 2021
  • Record Date: Friday, May 21, 2021
  • Payable Date: Friday, May 28, 2021

Infrastructure Capital Advisors expects to declare future dividends on a monthly basis.  Distributions are planned, but not guaranteed, for every month.  The next distribution is scheduled to occur in June 2021.

For more information about PFFR's distribution policy, its 2021 distribution calendar, or tax information, please visit the Fund's website at www.virtusetfs.com.

About Virtus ETF Advisers

Virtus ETF Advisers is a New York-based, multi-manager ETF sponsor and affiliate of Virtus Investment Partners. With actively managed and index-based investment capabilities across multiple asset classes, Virtus offers a range of complementary exchange-traded-funds subadvised by select investment managers.

About Infrastructure Capital Advisors, LLC

Infrastructure Capital Advisors, LLC (ICA) is an SEC-registered investment advisor that manages exchange traded funds and a series of hedge funds. The firm was formed in 2012 and is based in New York City.  ICA seeks total-return opportunities in key infrastructure sectors, including energy, real estate, transportation, industrials and utilities. It often identifies opportunities in entities that are not taxed at the entity level, such as master limited partnerships ("MLPs") and real estate investment trusts ("REITs").  It also looks for opportunities in credit and related securities, such as preferred stocks.  Current income is a primary objective in most, but not all, of the company's investing activities. The focus is generally on asset-intensive companies that generate and distribute substantial streams of free cash flow. For more information, please visit www.infracapfunds.com.

DISCLOSURE
Fund Risks

Exchange-Traded Funds (ETF): The value of an ETF may be more volatile than the underlying portfolio of securities it is designed to track. The costs of owning the ETF may exceed the cost of investing directly in the underlying securities. Preferred Stocks: Preferred stocks may decline in price, fail to pay dividends, or be illiquid. Real Estate Investments: The Fund may be negatively affected by factors specific to the real estate market, including interest rates, leverage, property, and management. Industry/Sector Concentration: A Fund that focuses its investments in a particular industry or sector will be more sensitive to conditions that affect that industry or sector than a non-concentrated Fund. Passive Strategy/Index Risk: A passive investment strategy seeking to track the performance of the underlying index may result in the Fund holding securities regardless of market conditions or their current or projected performance. This could cause the Fund's returns to be lower than if the Fund employed an active strategy. Correlation to Index: The performance of the Fund and its index may vary somewhat due to factors such as Fund flows, transaction costs, and timing differences associated with additions to and deletions from its index. Market Volatility: Securities in the Fund may go up or down in response to the prospects of individual companies and general economic conditions. Price changes may be short or long term. Prospectus: For additional information on risks, please see the Fund's prospectus.

You should consider the Fund's investment objectives, risks, and charges and expenses carefully before investing. Contact ETF Distributors LLC at 1-888-383-4184 or visit www.virtusetfs.com  to obtain a prospectus which contains this and other information about the Fund. The prospectus should be read carefully before investing.

Virtus ETF Advisers, LLC serves as the investment advisor and Infrastructure Capital Advisors, LLC serves as the subadviser to the Fund.

The Fund is distributed by VP Distributors, LLC, member FINRA and subsidiary of Virtus Investment Partners, Inc.

 

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SOURCE InfraCap REIT Preferred ETF

FAQ

What is the amount of the latest dividend for PFFR?

The latest dividend for PFFR is $0.12 per share.

When will the PFFR dividend be paid?

The PFFR dividend will be paid on May 28, 2021.

What is the record date for PFFR's dividend?

The record date for PFFR's dividend is May 21, 2021.

How often does PFFR declare dividends?

PFFR aims to declare dividends on a monthly basis.

Is the dividend for PFFR guaranteed?

Future distributions for PFFR are planned but not guaranteed.

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