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0 0.00898203592814384 -0.0173652694610778 -0.0389221556886227 -0.155688622754491 -0.182634730538922 -0.194610778443114 -0.191017964071856
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Brookfield Real Assets Income Fund Inc. Sets Distribution Rate and Declares Monthly Distributions [Financial Post (Toronto, Ontario, Canada)]

Brookfield Real Assets Income Fund Inc. (RA) 
Company Research Source: Financial Post
announced that its Board of Directors (the “Board”) declared the Fund's monthly distributions for October, November and December 2023. The Fund will reset its monthly distribution from $0.1990 per share to $0.1180 per share, payable to stockholders of record on the dates indicated in the chart below. The previously declared monthly distribution for September 2023 will not change. Month Record Date Ex-Dividend Date Payable Date Amount per Share September 2023 September 13, 2023 September 12, 2023 September 26, 2023 October 2023 October 11, 2023 October 10, 2023 October 25, 2023 November 2023 November 15, 2023 November 14, 2023 November 27, 2023 December 2023 December 13, 2023 December 12, 2023 December 26, 2023 Brookfield Public Securities Group LLC (“PSG”), the Fund's investment adviser, believes this adjusted distribution will benefit stockholders as it closely aligns the Fund's distribution with the Fund's expected total return, which PSG Show less Read more
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