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InfraCap REIT Preferred ETF (NYSE Arca: PFFR) Declares Monthly Dividend

Share this article Share this article NEW YORK, April 19, 2021 /PRNewswire/  The InfraCap REIT Preferred ETF (NYSE Arca: PFFR) (the Fund ) has declared a monthly distribution of $0.12 per share ($1.44 per share on an annualized basis).  The distribution will be paid April 28, 2021 to shareholders of record as of the close of business April 21, 2021. PFFR Cash Distribution: Record Date: Wednesday, April 21, 2021 Payable Date: Wednesday, April 28, 2021 Infrastructure Capital Advisors expects to declare future dividends on a monthly basis.  Distributions are planned, but not guaranteed, for every month.  The next distribution is scheduled to occur in May 2021. For more information about PFFR s distribution policy, its 2021 distribution calendar, or tax information, please visit the Fund s website at www.virtusetfs.com.

VIRTUS INVESTMENT PARTNERS, INC  : Change in Directors or Principal Officers, Financial Statements and Exhibits (form 8-K)

Virtus Investment Partners, Inc. (the Company ) and Timothy A. Holt, Chairman of the Company s Board of Directors (the Board ), of his decision to retire as a member of the Board effective April 16, 2021 pursuant to the Board s retirement policy. Mr. Treanor s retirement is not the result of a disagreement with the Company. Mr. Treanor has served as a member of the Board since the Company became a public company in 2009 and as its Chairman from 2009 through February 2021. Compensation Committee and

Virtus Investment Partners Reports Preliminary March 31, 2021 Assets Under Management

Virtus Investment Partners Reports Preliminary March 31, 2021 Assets Under Management News provided by Share this article Share this article HARTFORD, Conn., April 12, 2021 /PRNewswire/  Virtus Investment Partners, Inc. (NASDAQ: VRTS) today reported total assets under management (AUM) as of March 31, 2021 of $168.9 billion. The increase in AUM from December 31, 2020 reflected the addition of $29.5 billion of assets from the strategic partnership with Allianz Global Investors, market appreciation, and positive net flows in retail separate accounts, open-end funds, exchange traded funds, and institutional.  In addition, the company provided services to $3.4 billion of other fee-earning assets that are not included in assets under management. Assets Under Management (unaudited)

Virtus Investment Partners Reports Preliminary February 28, 2021 Assets Under Management

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