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SRH Total Return Fund, Inc. Section 19(a) Notice

SRH Total Return Fund, Inc. Section 19(a) Notice

SRH Total Return Fund, Inc. 第 19 (a) 条通知
Accesswire ·  2023/01/31 09:33

Notification of Sources of Distribution

关于分销来源的通知

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

根据1940年《投资公司法》第19(A)条发表的声明

DENVER, CO / ACCESSWIRE / January 31, 2023 / On January 31, 2023, SRH Total Return Fund, Inc. (NYSE:STEW) (the "Fund"), a closed-end investment company, will pay a distribution on its common stock of $0.125 per share to stockholders of record at the close of business on January 24, 2023. The Fund, acting in accordance with an exemptive order received from the Securities and Exchange Commission and with approval of its Board of Directors, adopted a managed distribution policy under which the Fund may utilize capital gains, where applicable, as part of regular quarterly cash distributions to its stockholders. This policy gives the Fund greater flexibility to realize capital gains and to distribute those gains to stockholders.

丹佛,CO/ACCESSWIRE/2023年1月31日/2023年1月31日,封闭式投资公司SRH Total Return Fund,Inc.(纽约证券交易所代码:STEW)(“基金”)将向2023年1月24日收盘时登记在册的股东支付普通股每股0.125美元的分配。基金按照证券和交易委员会发出的豁免命令行事,并经其董事会批准,采取了管理下的分配政策,根据该政策,基金可酌情利用资本收益,作为定期向其股东分配季度现金的一部分。这一政策使基金在实现资本收益和将这些收益分配给股东方面具有更大的灵活性。

The following table sets forth the estimated amounts of the current distribution and the cumulative distributions paid this fiscal year-to-date from the sources indicated in the table. In addition, the table shows the percentages of the total distribution amount per share attributable to (i) net investment income, (ii) net realized short-term capital gain, (iii) net realized long-term capital gain and (iv) return of capital or other capital source. These percentages are disclosed for the current distribution as well as the fiscal year-to-date cumulative distribution amount per share for the Fund.

下表列出了本财政年度迄今从该表所示来源支付的当前分配和累计分配的估计数额。此外,该表还显示了可归因于(1)净投资收入、(2)已实现短期资本收益净额、(3)已实现长期资本收益净额和(4)资本或其他资本来源回报的每股总分派金额的百分比。这些百分比是就基金的当前分配以及本财政年度迄今的每股累计分配金额披露的。

Current Distribution from:


Per Share ($)

Percentage (%)

Net Investment Income

0.00510

4.08 %

Net Realized Short-Term Capital Gains

0.02317

18.54 %

Net Realized Long-Term Capital Gains

0.01594

12.75 %

Return of Capital or other Capital Source

0.08079

64.63 %

Total (per common share)

0.12500

100.00 %

Fiscal Year-to-Date Cumulative

Distributions from[1]:

Per Share ($)

Percentage (%)

Net Investment Income

0.00510

4.08 %

Net Realized Short-Term Capital Gains

0.02317

18.54 %

Net Realized Long-Term Capital Gains

0.01594

12.75 %

Return of Capital or other Capital Source

0.08079

64.63 %

Total (per common share)

0.12500

100.00 %

当前分配自:


每股(美元)

百分比(%)

净投资收益

0.00510

4.08 %

已实现短期资本利得净额

0.02317

18.54 %

已实现长期资本利得净额

0.01594

12.75 %

资本返还或其他资金来源

0.08079

64.63 %

总计(每股普通股)

0.12500

100.00 %

本财年迄今累计

从以下位置分发[1]:

每股(美元)

百分比(%)

净投资收益

0.00510

4.08 %

已实现短期资本利得净额

0.02317

18.54 %

已实现长期资本利得净额

0.01594

12.75 %

资本返还或其他资金来源

0.08079

64.63 %

总计(每股普通股)

0.12500

100.00 %

[1] The Fund's fiscal year is December 1 to November 30. Information shown is for the period beginning December 1, 2022.

[1]该基金的财政年度为12月1日至11月30日。所显示的信息是从2022年12月1日开始的。

Stockholders should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund's managed distribution policy. The amounts and sources of distributions reported in this 19(a) Notice are only estimates, are likely to change over time, and are not being provided for tax reporting purposes.

股东不应从这种分配的数额或基金管理下的分配政策的条款中得出任何关于基金投资业绩的结论。本第19(A)条所述分派金额及来源仅为估计数字,可能会随时间而改变,并不作税务申报之用。

The actual amounts and sources of the amounts for accounting and 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 amounts and sources of distributions year-to-date may be subject to additional adjustments.

用于会计和税务报告目的的实际数额和来源将取决于基金在其财政年度剩余时间内的投资经验,并可能根据税务条例而发生变化。今年迄今的分配数额和来源可能会有额外的调整。

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.

该基金将向您发送日历年度的1099-DIV表格,该表格将告诉您如何报告这些分配以用于联邦所得税目的。

Presented below are return figures, based on the change in the Fund's Net Asset Value per share ("NAV"), compared to the annualized distribution rate for this current distribution as a percentage of the NAV on the last day of the month prior to the distribution declaration date. While the NAV performance may be indicative of the Fund's investment performance, it does not measure the value of a stockholder's investment in the Fund. The value of a stockholder's investment in the Fund is determined by the Fund's market price, which is based on the supply and demand for the Fund's shares in the open market.

以下为回报数字,以基金每股资产净值(“NAV”)的变动为基础,与本次分派的年化分派率在分派申报日期前一个月最后一天的资产净值百分比比较。虽然资产净值业绩可以反映基金的投资业绩,但它并不衡量股东对基金的投资价值。储户对基金的投资价值由基金的市场价格决定,而市场价格是根据基金在公开市场上的股票供求情况而定的。

Fund Performance & Distribution Rate Information

基金业绩和分销率信息

Annualized Distribution Rate as a Percentage of NAV^

3.28%

Cumulative Distribution Rate as a Percentage of NAV*

0.82%

Cumulative Total Return as a Percentage of NAV**

-4.03%

Average Annual Total Return***

6.92%

年化分配率占资产净值的百分比^

3.28%

累计分配率占资产净值的百分比*

0.82%

累计总回报占资产净值的百分比**

-4.03%

年均总报税表*

6.92%

^ Based on the Fund's NAV as of December 31, 2022 and the quarterly distribution of $0.125.

^基于基金截至2022年12月31日的资产净值和0.125美元的季度分配。

*Based on the Fund's NAV as of December 31, 2022 and includes distributions through January 31, 2023.

*基于基金截至2022年12月31日的资产净值,包括截至2023年1月31日的分配。

**Cumulative Total Return is the percentage change in the Fund's NAV including distributions paid and assuming reinvestment of these distributions for the period December 1, 2022 through December 31, 2022.

**累计总回报是2022年12月1日至2022年12月31日期间基金资产净值的百分比变化,包括已支付的分配和假设这些分配的再投资。

***Average Annual Total Return represents the compound average of the Annual NAV Total Returns of the Fund for the five-year period ending December 31, 2022. Annual NAV Total Return is the percentage change in the Fund's NAV over a year including distributions paid and assuming reinvestment of these distributions.

*平均年总回报是指截至2022年12月31日的五年期间基金的年度资产净值总回报的复合平均值。年度资产净值总回报是基金资产净值在一年内的百分比变化,包括已支付的分配和假设这些分配的再投资。

The Fund has a managed distribution policy that seeks to deliver the Fund's long term total return potential through regular quarterly distributions declared at a fixed rate per 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. Stockholders should note, however, that if the 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 stockholder's capital. A return of capital is not taxable; rather it reduces a stockholder's tax basis in his or her shares of the Fund.

基金实行有管理的分配政策,力求通过以每股固定比率宣布的定期季度分配,实现基金的长期总回报潜力。分配可部分或全部从净投资收入、已实现资本收益和返还资本或其组合中支付。但是,股东应注意,如果基金的投资净收入和已实现净资本收益总额低于分配水平的数额,差额将从基金的资产中分配,并将构成股东资本的返还。资本返还不应纳税;相反,它降低了股东在基金中所占份额的税基。

The Fund's Board of Directors reviews the amount of any distributions made pursuant to the Fund's distribution policy and considers the income earned and capital gains realized by the Fund, as well as the Fund's available capital. The Board of Directors will continue to monitor the Fund's distribution level, taking into consideration, among other things, the Fund's net asset value and market conditions. The Fund's distribution policy is subject to modification, suspension or termination by the Board of Directors at any time, which could have an adverse effect on the market price of the Fund's shares. The distribution rate should not be considered the dividend yield or total return on an investment in the Fund.

基金董事会审查根据基金分配政策进行的任何分配的数额,并审议基金赚取的收入和实现的资本利得以及基金的可用资本。董事会将继续监测基金的分配水平,除其他外,考虑到基金的资产净值和市场状况。基金的分配政策可随时由董事会修改、暂停或终止,这可能对基金股票的市场价格产生不利影响。分配率不应被视为基金投资的股息率或总回报。

For more information on the Fund, please visit us on the web at .

如欲了解更多有关基金的资料,请浏览网页:。

NOT FDIC INSURED | May Lose Value | No Bank Guarantee

未投保FDIC|可能损失价值|无银行担保

SOURCE: SRH Total Return Fund, Inc.

资料来源:SRH总回报基金,Inc.


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