DWS Municipal Income Trust Declares Monthly Distribution
Businesswire·2025-09-09 20:35
today its regular September monthly distribution. Details are as follows: Declaration – 09/09/2025 Ex-Date – 09/19/2025 Record – 09/19/2025 Payable – 09/30/2025 Fund Ticker Distribution Per Share Prior Distribution Per Share DWS Municipal Income Trust KTF $0.0610 $0.0610 The Fund intends to distribute all or substantially all of its net investment income each year through its regular monthly distributions and t. NEW YORK--(BUSINESS WIRE)--DWS Municipal Income Trust (KTF) (the "Fund†) announced ...