STOCK TITAN

Western Asset Inflation-Linked Income Fund (WIA or “the Fund”; CUSIP: 95766Q106) Announces Notification of Sources of Distributions

Rhea-AI Impact
(No impact)
Rhea-AI Sentiment
(Neutral)
Tags

Western Asset Inflation-Linked Income Fund [NYSE: WIA] has announced its distribution sources for July 31, 2024, and fiscal year 2024. The Fund's July monthly distribution is $0.0500 per share, entirely sourced from net investment income. For the fiscal year-to-date, the cumulative distribution is $0.3500 per share, also fully derived from net investment income.

Key performance metrics as of June 30, 2024, include:

  • Average Annual Total Return (5-year): 0.89%
  • Annualized Distribution Rate: 6.54%
  • Cumulative Total Return (fiscal period): 3.38%
  • Cumulative Fiscal Year-To-Date Distribution Rate: 3.81%
The Fund maintains a managed distribution policy aiming to deliver long-term total return potential through regular monthly distributions. Shareholders are advised that distributions may include a return of capital, which is not taxable but reduces the tax basis of Fund shares.

Il Western Asset Inflation-Linked Income Fund [NYSE: WIA] ha annunciato le sue fonti di distribuzione per il 31 luglio 2024 e per l'anno fiscale 2024. La distribuzione mensile di luglio del Fondo è di $0,0500 per azione, completamente derivata dal reddito da investimenti netti. Fino ad oggi nell'anno fiscale, la distribuzione cumulativa è di $0,3500 per azione, anch'essa interamente proveniente dal reddito da investimenti netti.

I principali indicatori di performance al 30 giugno 2024 includono:

  • Rendimento totale annuo medio (5 anni): 0,89%
  • Tasso di distribuzione annualizzato: 6,54%
  • Rendimento totale cumulativo (periodo fiscale): 3,38%
  • Tasso cumulativo di distribuzione dall'inizio dell'anno fiscale: 3,81%
Il Fondo mantiene una politica di distribuzione gestita con l'obiettivo di offrire un potenziale di rendimento totale a lungo termine attraverso distribuzioni mensili regolari. Si consiglia agli azionisti che le distribuzioni possono includere un ritorno di capitale, che non è tassabile ma riduce il valore fiscale delle azioni del Fondo.

El Western Asset Inflation-Linked Income Fund [NYSE: WIA] ha anunciado sus fuentes de distribución para el 31 de julio de 2024 y para el año fiscal 2024. La distribución mensual de julio del Fondo es de $0.0500 por acción, completamente procedente de ingresos netos por inversiones. Hasta la fecha fiscal actual, la distribución acumulativa es de $0.3500 por acción, también completamente derivada de ingresos netos por inversiones.

Los principales indicadores de rendimiento al 30 de junio de 2024 incluyen:

  • Rentabilidad total anual promedio (5 años): 0.89%
  • Tasa de distribución anualizada: 6.54%
  • Rentabilidad total acumulativa (período fiscal): 3.38%
  • Tasa de distribución acumulativa hasta la fecha del año fiscal: 3.81%
El Fondo mantiene una política de distribución gestionada que busca ofrecer un potencial de rendimiento total a largo plazo a través de distribuciones mensuales regulares. Se aconseja a los accionistas que las distribuciones pueden incluir un retorno de capital, que no es imponible pero reduce la base fiscal de las acciones del Fondo.

Western Asset Inflation-Linked Income Fund [NYSE: WIA]는 2024년 7월 31일 및 2024 회계연도의 배급 출처를 발표했습니다. 펀드의 7월 월 배당금은 $0.0500 per 주당으로, 전액 순 투자 소득에서 발생합니다. 회계 연도 누적 배당금은 $0.3500 per 주당이며, 이 또한 전액 순 투자 소득에서 파생됩니다.

2024년 6월 30일 기준 주요 성과 지표는 다음과 같습니다:

  • 평균 연간 총 수익률 (5년): 0.89%
  • 연간 배당률: 6.54%
  • 누적 총 수익률 (회계 기간): 3.38%
  • 회계 연도 누적 배당률: 3.81%
펀드는 정기적인 월별 배당금을 통해 장기적인 총 수익 잠재력을 제공하는 것을 목표로 하는 관리 배당 정책을 유지합니다. 주주들에게 배당금에 자본 반환이 포함될 수 있음을 알려드리며, 이는 과세되지 않지만 펀드 주식의 세금 기준을 낮춥니다.

Le Western Asset Inflation-Linked Income Fund [NYSE: WIA] a annoncé ses sources de distribution pour le 31 juillet 2024 et pour l'exercice fiscal 2024. La distribution mensuelle de juillet du Fonds est de $0,0500 par action, entièrement provenant des revenus d'investissement nets. Pour l'exercice fiscal en cours, la distribution cumulative est de $0,3500 par action, également entièrement dérivée des revenus d'investissement nets.

Les principaux indicateurs de performance au 30 juin 2024 incluent:

  • Rendement total annuel moyen (5 ans): 0,89%
  • Taux de distribution annualisé: 6,54%
  • Rendement total cumulatif (période fiscale): 3,38%
  • Taux de distribution cumulatif à ce jour depuis le début de l'exercice: 3,81%
Le Fonds maintient une politique de distribution gérée visant à offrir un potentiel de rendement total à long terme grâce à des distributions mensuelles régulières. Les actionnaires sont informés que les distributions peuvent inclure un retour de capital, qui n'est pas imposable mais réduit la base fiscale des actions du Fonds.

Der Western Asset Inflation-Linked Income Fund [NYSE: WIA] hat seine Verteilungsquellen für den 31. Juli 2024 und das Geschäftsjahr 2024 bekannt gegeben. Die monatliche Verteilung für Juli beträgt 0,0500 $ pro Aktie und stammt vollständig aus Nettoanlageerträgen. Bis heute im Geschäftsjahr beträgt die kumulierte Verteilung 0,3500 $ pro Aktie, ebenfalls vollständig aus Nettoanlageerträgen abgeleitet.

Die wichtigsten Leistungskennzahlen zum 30. Juni 2024 sind:

  • Durchschnittliche jährliche Gesamtrendite (5 Jahre): 0,89%
  • Annualisierte Ausschüttungsrate: 6,54%
  • Kumulative Gesamtrendite (fiskalischer Zeitraum): 3,38%
  • Kumulative Ausschüttungsrate seit Beginn des Geschäftsjahres: 3,81%
Der Fonds verfolgt eine verwaltete Ausschüttungspolitik, die darauf abzielt, das langfristige Potenzial einer Gesamtrendite durch regelmäßige monatliche Ausschüttungen zu bieten. Den Aktionären wird geraten, dass Ausschüttungen einen Rückfluss von Kapital enthalten können, der nicht versteuert wird, aber die Steuerbasis der Fondsanteile verringert.

Positive
  • None.
Negative
  • None.

NEW YORK--(BUSINESS WIRE)-- Western Asset Inflation-Linked Income Fund [NYSE: WIA]

Notification of Sources of Distributions

Pursuant to Section 19(a) of the Investment Company Act of 1940

The Fund’s estimated sources of the distribution to be paid on July 31, 2024, and for the fiscal year 2024 year-to-date are as follows:

Estimated Allocations for the July Monthly Distribution as of June 30, 2024:

Distribution

Per Share

Net Investment

Income

Net Realized

Short-Term Capital

Gains

Net Realized

Long-Term Capital

Gains

Return of

Capital

$0.0500

$0.0500

$0.0000

$0.0000

$0.0000

100.00%

100.00%

0.00%

0.00%

0.00%

Cumulative Estimated Allocations fiscal year-to-date as of June 30, 2024, for the fiscal year ending November 30, 2024:

Distribution

Per Share

Net Investment

Income

Net Realized

Short-Term Capital

Gains

Net Realized

Long-Term Capital

Gains

Return of

Capital

$0.3500

$0.3500

$0.0000

$0.0000

$0.0000

100.00%

100.00%

0.00%

0.00%

0.00%

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. WIA estimates that it has distributed more than its income and net realized capital gains; therefore, a portion of the WIA distribution to shareholders may be a return of capital. A return of capital may occur, for example, when some or all of the money that a shareholder invested in a Fund is paid back to them. A return of capital distribution does not necessarily reflect WIA’s investment performance and should not be confused with ‘yield’ or ‘income’. 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.

Average Annual Total

Return (in relation to

the change in net asset

value (NAV) for the 5-

year period ended on

6/30/2024)1

Annualized

Distribution Rate (as a

percentage of NAV as

of 6/30/2024)2

Cumulative Total

Return (in relation

to the change in

NAV for the fiscal

period through

6/30/2024)3

Cumulative Fiscal

Year-To-Date

Distribution Rate (as

a percentage of NAV

as of 6/30/2024)4

0.89%

6.54%

3.38%

3.81%

Fund Performance and Distribution Rate Information:

  1. Average Annual Total Return in relation to NAV represents the compound average of the Annual NAV Total Returns of the Fund for the five-year period ended through June 30, 2024. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year, assuming reinvestment of distributions paid.
  2. The Annualized Distribution Rate is the current fiscal period’s distribution rate annualized as a percentage of the Fund’s NAV as of June 30, 2024.
  3. Cumulative Total Return is the percentage change in the Fund’s NAV from November 30, 2023 through June 30, 2024, assuming reinvestment of distributions paid.
  4. The Cumulative Fiscal Year-To-Date Distribution Rate is the dollar value of distributions for the fiscal period November 30, 2023 through June 30, 2024, as a percentage of the Fund’s NAV as of June 30, 2024.

This Fund has a managed distribution policy that seeks to deliver the Fund’s long-term total return potential through regular monthly distributions declared at a fixed rate per common share. Distributions may be paid in part or in full from net investment income, realized capital gains and by returning capital, or a combination thereof. Shareholders should note, however, that if a Fund’s aggregate net investment income and net realized capital gains are less than the amount of the distribution level, the difference will be distributed from the Fund’s assets and will constitute a return of the shareholder’s capital. A return of capital is not taxable; rather it reduces a shareholder’s tax basis in his or her shares of the Fund. The Board of Directors of the Fund may terminate or suspend the managed distribution policy at any time, which could have an adverse effect on the market price of the Fund’s shares.

For further information on Western Asset Inflation-Linked Income Fund, please visit our web site at: www.franklintempleton.com/investments/options/closed-end-funds

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.

Category: Distribution Relatedn

Source: Franklin Resources, Inc.

Source: Legg Mason Closed End Funds

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

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

FAQ

What is the July 2024 distribution amount for Western Asset Inflation-Linked Income Fund (WIA)?

The July 2024 distribution for Western Asset Inflation-Linked Income Fund (WIA) is $0.0500 per share.

What is the source of WIA's July 2024 distribution?

The entire July 2024 distribution of $0.0500 per share for WIA is sourced from net investment income.

What is WIA's cumulative distribution for the fiscal year 2024 to date?

WIA's cumulative distribution for the fiscal year 2024 to date is $0.3500 per share, entirely from net investment income.

What is the 5-year average annual total return for WIA as of June 30, 2024?

The 5-year average annual total return for WIA as of June 30, 2024, is 0.89%.

What is WIA's annualized distribution rate as of June 30, 2024?

WIA's annualized distribution rate as of June 30, 2024, is 6.54% of NAV.

Western Asset Inflation-Linked Income Fund

NYSE:WIA

WIA Rankings

WIA Latest News

WIA Stock Data

198.24M
23.32M
0.09%
71.05%
0.22%
Asset Management
Financial Services
Link
United States of America
Pasadena