Brookfield Real Assets Income Fund Inc. Declares Q3 2025 Distribution Schedule
Globenewswire·2025-06-27 21:12

Core Viewpoint - Brookfield Real Assets Income Fund Inc. has declared its monthly distributions for July, August, and September 2025, with a consistent amount of $0.1180 per share for each month [1][2]. Distribution Schedule - The distribution schedule is as follows: - July 2025: Record Date - July 10, Ex-Dividend Date - July 10, Payable Date - July 24, Amount per Share - $0.1180 [2] - August 2025: Record Date - August 7, Ex-Dividend Date - August 7, Payable Date - August 21, Amount per Share - $0.1180 [2] - September 2025: Record Date - September 11, Ex-Dividend Date - September 11, Payable Date - September 25, Amount per Share - $0.1180 [2] Fund Management - Brookfield Real Assets Income Fund Inc. is managed by Brookfield Public Securities Group LLC, and material information about the Fund is available on its website [3].

Brookfield Real Assets Income Fund Inc. Declares Q3 2025 Distribution Schedule - Reportify