Cohen & Steers Total Return Realty Fund Updates for Investors

Investing in Cohen & Steers Total Return Realty Fund
The Cohen & Steers Total Return Realty Fund, Inc. (NYSE: RFI) is dedicated to providing shareholders with detailed insights about its distribution sources. This communication is essential for understanding the distributions to be issued shortly, along with cumulative distributions that have been recorded up to this point in the fiscal year.
Managed Distribution Policy Overview
Since its inception of the managed distribution policy in December 2011, the Fund has sought to optimize the delivery of total returns to investors. This policy was introduced in line with exemptive relief from the Securities and Exchange Commission, allowing the Fund to make monthly distributions at a fixed rate based on common shares outstanding. By doing this, the Fund can further capitalize on long-term capital gains and distribute those yields consistently throughout the year, enhancing predictability for investors.
Amendments to Distribution Policy
The Board of Directors reserves the right to amend or even suspend this managed distribution policy at any time. Investors should be mindful that such changes could impact the market price for shares of the Fund. Thus, staying informed about these operations is advisable for all shareholders.
Understanding Distribution Sources
Monthly distributions from the Fund can include diverse income sources such as net investment income, short-term and long-term capital gains, and potential return of capital for tax purposes. Specifically, any excess distributions paid beyond net investment income are considered as a return of capital, which affects the shareholder's basis in their investment, although it does not incur tax liabilities.
Distribution Estimates Breakdown
At every monthly distribution, Cohen & Steers will disseminate thorough details on their official website. Shareholders will be notified about these changes through mailing correspondence; however, final tax characterizations of distributions can fluctuate until the end of the calendar year. Therefore, it’s crucial to consider these factors when assessing overall investment performance.
DISTRIBUTION ESTIMATES | May 2025 | YEAR-TO-DATE (YTD) |
Source | Per Share Amount | % of Current Distribution |
Net Investment Income | $0.0000 | 0.00 % |
Net Realized Short-Term Capital Gains | $0.0000 | 0.00 % |
Net Realized Long-Term Capital Gains | $0.0800 | 100.00 % |
Return of Capital | $0.0000 | 0.00 % |
Total Current Distribution | $0.0800 | 100.00 % |
Performance Insights: Total Return and Distribution Rates
Investors should also take note of the Fund’s Year-to-date Cumulative Total Return, which dynamically reflects the performance from the start of the fiscal year. Likewise, it is essential to examine the Average Annual Total Return over the last five years, providing a broader perspective on investment performance.
Key Performance Metrics
The Fund's Year-to-date Cumulative Total Return is currently at 2.57 % up until April 30, 2025, and the Cumulative Distribution Rate is recorded at 3.45 %. Moreover, the Average Annual Total Return over a five-year period ending in April 2025 is approximately 8.39 %, with a Current Annualized Distribution Rate of 8.27 %, representing its efficiency in generating returns for investors.
Investor Advisory and Resources
Before making investment decisions, it's crucial for investors to evaluate the Fund's investment objectives, associated risks, charges, and expense structure carefully. To access recent reports or regulatory filings, investors should reach out to their financial advisors or explore the official website for full disclosure of the Fund's financial health and investment strategies.
Frequently Asked Questions
What is the managed distribution policy?
The managed distribution policy allows the Fund to pay regular monthly distributions at a fixed rate, enhancing predictability for investors.
How are distributions characterized for tax purposes?
Distributions may include capital gains and returns of capital; however, the actual characterization is determined after year-end.
What should shareholders expect regarding the distribution amounts?
The amounts and sources of distributions reported are estimates and can change based on the Fund's performance and market conditions.
What are the current performance statistics of the Fund?
The Year-to-date Cumulative Total Return is 2.57%, with an Average Annual Total Return of 8.39% over the last five years.
Where can investors find more information about the Fund?
Investors can access reports and regulatory filings through the Fund's website or by contacting their financial advisors.
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