High Income Securities Fund Announces Monthly Distribution for the Month of February 2024 and March 2024, Payable on February 29, 2024 and March 29, 2024 Respectively
January 04, 2024 at 10:06 am EST
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High Income Securities Fund Announced Monthly Distribution of $0.0622 per share for the month of February 2024 and March 2024, payable on February 29, 2024 and March 29, 2024 respectively. Record Date is February 20, 2024 and March 20, 2024 respectively.
High Income Securities Fund (the Fund) is a diversified closed-end management investment company. The Fundâs investment objective is to seek to provide high current income as a primary objective and capital appreciation as a secondary objective. The Fund is focused on achieving objective is by primarily investing approximately 80% of its net assets in fixed income securities, including debt instruments, convertible securities, and preferred stocks. The Fund also invests in high-yielding non-convertible securities with the potential for capital appreciation. The primary focus of the investment strategy is to acquire discounted securities of income-oriented closed-end investment companies, business development companies, fixed income securities, including debt instruments, convertible securities, preferred stocks, and special purpose acquisition companies.
High Income Securities Fund Announces Monthly Distribution for the Month of February 2024 and March 2024, Payable on February 29, 2024 and March 29, 2024 Respectively