Madison Strategic Sector Premium Fund (MSP) Declares Quarterly Dividend
05 9월 2012 - 5:36AM
Marketwired
The Madison Strategic Sector Premium Fund (the Fund or MSP) (NYSE:
MSP) declares its quarterly dividend of $0.26/share payable
September 28, 2012 to shareholders of record on September 17, 2012.
The ex-dividend date will be September 13, 2012. If it is
determined that a notification is required pursuant to Section
19(a) of the Investment Company Act of 1940, as amended, such
notice will be posted to the Fund's website after the close of
business three business days prior to the payable date. If a
distribution rate is largely comprised of sources other than
income, it may not be reflective of the Fund's performance.
The Fund's objective is to achieve a high level of current
income and current capital gains, with long-term capital
appreciation as a secondary objective. The Fund intends to pursue
its objectives by investing in a portfolio of common stocks and
utilizing an option strategy, primarily by writing (selling)
covered call options on a substantial portion of the individual
common stocks in the portfolio in order to generate current income
and gains from option writing premiums and, to a lesser extent,
from dividends. Market action can impact dividend issuance as
significant decreases or increases in the Fund's total assets
affects the Fund's future dividend prospects.
The Fund provides additional information on its website at
www.madisonfunds.com. Madison Asset Management, LLC (Madison), a
subsidiary of Madison Investment Holdings, Inc., is the Fund's
investment adviser. Its affiliates include Madison Investment
Advisors, with which it shares all resources at our Madison,
Wisconsin headquarters, Madison Scottsdale, Arizona, Concord Asset
Management, Chicago, Illinois and NorthRoad Capital Management, New
York City. Madison also manages another closed-end fund, the
Madison/Claymore Covered Call and Equity Strategy Fund (MCN).
Certain statements in this release are forward-looking. The
Fund's actual results may differ from current expectations or
projections due to numerous factors, including but not limited to
changes in the equity markets, changes in the portfolio's value,
economic and political conditions and other risks generally
discussed in the Fund's filings with the SEC. Neither the Fund nor
Madison undertakes any obligation to publicly update or revise any
forward-looking statements.
CONTACT: Madison Investment Advisors Larry Tabak Email Contact
800-368-3195
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