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Templeton Emerging Markets Income Fund (“TEI” or the “Fund”) Announces Distribution

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Templeton Emerging Markets Income Fund (NYSE: TEI) has announced a monthly distribution of $0.0475 per share, payable on September 30, 2024, to shareholders of record on September 19, 2024. This distribution is part of a managed distribution plan authorized by the Fund's Board of Trustees, aiming to provide consistent monthly distributions and potentially narrow the discount between the market price and net asset value of the Fund's shares.

The Fund aims to generate as much of the distribution as possible from net ordinary income and short-term capital gains. If insufficient distributable income is available, the Fund may distribute long-term capital gains or return capital. The Board may amend or terminate the plan at any time, which could affect the Fund's market price. Franklin Templeton, the parent company, manages over $1.6 trillion in assets as of July 31, 2024.

Il Templeton Emerging Markets Income Fund (NYSE: TEI) ha annunciato una distribuzione mensile di $0.0475 per azione, che sarà pagata il 30 settembre 2024, agli azionisti registrati il 19 settembre 2024. Questa distribuzione fa parte di un piano di distribuzione gestito autorizzato dal Consiglio di Amministrazione del Fondo, con l'obiettivo di fornire distribuzioni mensili costanti e potenzialmente ridurre lo sconto tra il prezzo di mercato e il valore netto degli attivi delle azioni del Fondo.

Il Fondo mira a generare quanto più possibile della distribuzione da reddito ordinario netto e guadagni in conto capitale a breve termine. Se non ci sono sufficienti redditi distribuibili disponibili, il Fondo può distribuire guadagni in conto capitale a lungo termine o restituire capitale. Il Consiglio può modificare o terminare il piano in qualsiasi momento, il che potrebbe influire sul prezzo di mercato del Fondo. Franklin Templeton, la società madre, gestisce oltre $1.6 trilioni in attivi al 31 luglio 2024.

El Templeton Emerging Markets Income Fund (NYSE: TEI) ha anunciado una distribución mensual de $0.0475 por acción, que se pagará el 30 de septiembre de 2024, a los accionistas registrados el 19 de septiembre de 2024. Esta distribución es parte de un plan de distribución gestionado autorizado por la Junta de Fideicomisarios del Fondo, que tiene como objetivo proporcionar distribuciones mensuales consistentes y, potencialmente, reducir el descuento entre el precio de mercado y el valor neto de los activos de las acciones del Fondo.

El Fondo busca generar la mayor parte de la distribución posible a partir de ingresos ordinarios netos y ganancias de capital a corto plazo. Si no hay suficientes ingresos distribuibles disponibles, el Fondo puede distribuir ganancias de capital a largo plazo o devolver capital. La Junta puede modificar o finalizar el plan en cualquier momento, lo que podría afectar el precio de mercado del Fondo. Franklin Templeton, la empresa matriz, gestiona más de $1.6 billones en activos al 31 de julio de 2024.

템플턴 이머징 마켓 인컴 펀드(NYSE: TEI)는 주당 $0.0475의 월 배당금을 발표하였으며, 2024년 9월 30일에 배당금이 지급되고, 2024년 9월 19일에 주주로 등록된 경우에 해당됩니다. 이 배당금은 펀드 이사회에 의해 승인된 관리 배당 계획의 일환으로, 월별 배당금을 안정적으로 제공하고 펀드 주식의 시장 가격과 순자산가치 간의 할인율을 줄이는 것을 목표로 하고 있습니다.

펀드는 가능하면 순수익과 단기 자본 이득에서 배당금을 생성하려고 합니다. 배당할 수 있는 소득이 충분하지 않은 경우, 펀드는 장기 자본 이득을 배당할 수도 있으며 자본을 환급할 수 있습니다. 이사회는 언제든지 계획을 수정하거나 종료할 수 있으며, 이는 펀드의 시장 가격에 영향을 미칠 수 있습니다. 모회사인 프랭클린 템플턴은 2024년 7월 31일 기준으로 1.6조 달러 이상의 자산을 관리하고 있습니다.

Le Templeton Emerging Markets Income Fund (NYSE: TEI) a annoncé une distribution mensuelle de $0.0475 par action, qui sera payable le 30 septembre 2024, aux actionnaires enregistrés le 19 septembre 2024. Cette distribution fait partie d'un plan de distribution géré approuvé par le conseil d'administration du Fonds, visant à fournir des distributions mensuelles constantes et potentiellement réduire l'écart entre le prix du marché et la valeur nette des actifs des actions du Fonds.

Le Fonds vise à générer autant que possible la distribution à partir des revenus ordinaires nets et des gains en capital à court terme. Si les revenus distribuables disponibles sont insuffisants, le Fonds peut distribuer des gains en capital à long terme ou restituer du capital. Le Conseil peut modifier ou mettre fin au plan à tout moment, ce qui pourrait affecter le prix du marché du Fonds. Franklin Templeton, la société mère, gère plus de $1,6 billion d'actifs au 31 juillet 2024.

Der Templeton Emerging Markets Income Fund (NYSE: TEI) hat eine monatliche Ausschüttung von $0.0475 pro Aktie angekündigt, die am 30. September 2024 an Aktionäre ausgezahlt wird, die am 19. September 2024 im Aktienregister stehen. Diese Ausschüttung ist Teil eines von dem Vorstand des Fonds genehmigten verwalteten Ausschüttungsplans, der darauf abzielt, konsistente monatliche Ausschüttungen bereitzustellen und potenziell den Discount zwischen dem Marktpreis und dem Nettovermögen der Fondsanteile zu verringern.

Der Fonds ist bestrebt, so viel wie möglich von der Ausschüttung aus netto ordentlichen Einnahmen und kurzfristigen Kapitalgewinnen zu generieren. Wenn nicht genügend ausschüttbare Einnahmen vorhanden sind, kann der Fonds langfristige Kapitalgewinne oder Kapital zurückgeben. Der Vorstand kann den Plan jederzeit ändern oder beenden, was den Marktpreis des Fonds beeinflussen könnte. Franklin Templeton, das Mutterunternehmen, verwaltet bis zum 31. Juli 2024 über $1,6 Billionen an Vermögenswerten.

Positive
  • Consistent monthly distribution of $0.0475 per share
  • Managed distribution plan aims to narrow discount between market price and NAV
  • Franklin Templeton manages over $1.6 trillion in assets
Negative
  • Potential return of capital if insufficient distributable income is available
  • Possible adverse effect on market price if plan is amended or terminated

FORT LAUDERDALE, Fla.--(BUSINESS WIRE)-- Templeton Emerging Markets Income Fund [NYSE: TEI] today announced a monthly distribution from net investment income of $0.0475 per share, payable on September 30, 2024, to shareholders of record on September 19, 2024 (Ex-Dividend Date: September 19, 2024).

The Fund’s Board of Trustees (the “Board”) has authorized a managed distribution plan (the “Plan”) pursuant to which the Fund makes monthly distributions to shareholders at the fixed rate of $0.0475 per share. The Plan is intended to provide shareholders with consistent distributions each month and is intended to narrow the discount between the market price and the net asset value (“NAV”) of the Fund’s common shares, but there can be no assurance that the Plan will be successful in doing so. The Fund is managed with a goal of generating as much of the distribution as possible from net ordinary income and short-term capital gains, that is consistent with the Fund’s investment strategy and risk profile. To the extent that sufficient distributable income is not available on a monthly basis, the Fund will distribute long-term capital gains and/or return of capital in order to maintain its managed distribution rate. A return of capital may occur, for example, when some or all of the money that was invested in the Fund is paid back to shareholders. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”. Even though the Fund may realize current year capital gains, such gains may be offset, in whole or in part, by the Fund’s capital loss carryovers from prior years.

The Board may amend the terms of the Plan or terminate the Plan at any time without prior notice to the Fund’s shareholders. The amendment or termination of the Plan could have an adverse effect on the market price of the Fund’s common shares. The Plan will be subject to the periodic review by the Board, including a yearly review of the fixed rate to determine if an adjustment should be made.

Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of the current distribution or from the terms of the Plan. 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 a Form 1099-DIV to shareholders for the calendar year that will describe how to report the Fund’s distributions for federal income tax purposes.

For further information on Templeton Emerging Markets Income Fund, please visit our web site at: www.franklintempleton.com

Franklin Resources, Inc. is a global investment management organization with subsidiaries operating as Franklin Templeton and serving clients in over 150 countries. Franklin Templeton’s mission is to help clients achieve better outcomes through investment management expertise, wealth management and technology solutions. Through its specialist investment managers, the company offers specialization on a global scale, bringing extensive capabilities in fixed income, equity, alternatives and multi-asset solutions. With more than 1,500 investment professionals, and offices in major financial markets around the world, the California-based company has over 75 years of investment experience and over $1.6 trillion in assets under management as of July 31, 2024. For more information, please visit franklintempleton.com.

Franklin Templeton

1-800-342-5236

Source: Franklin Templeton

FAQ

What is the monthly distribution amount for Templeton Emerging Markets Income Fund (TEI)?

Templeton Emerging Markets Income Fund (TEI) has announced a monthly distribution of $0.0475 per share.

When is the ex-dividend date for TEI's September 2024 distribution?

The ex-dividend date for TEI's September 2024 distribution is September 19, 2024.

What is the purpose of TEI's managed distribution plan?

TEI's managed distribution plan aims to provide shareholders with consistent monthly distributions and potentially narrow the discount between the market price and net asset value of the Fund's shares.

How much assets under management does Franklin Templeton have as of July 31, 2024?

As of July 31, 2024, Franklin Templeton has over $1.6 trillion in assets under management.

Templeton Emerging Markets Income Fund

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