Brookfield Real Assets Income Fund Inc. announced that the Board of Directors declared monthly distributions for July, August and September 2021 of $0.1990 per share. Record date is July 14, 2021, August 11, 2021 and September 15, 2021, respectively. Ex-date is July 13, 2021, August 10, 2021 and September 14, 2021 and dividend will be payable July 22, 2021, August 23, 2021 and September 15, 2021respectively.