Source Capital, Inc. Declares Monthly Distributions for the Month of June, July, and August on Common Stock, Payable on June 28, 2024, July 31, 2024, and August 30, 2024 Respectively
April 16, 2024 at 05:30 pm EDT
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The Board of Directors of Source Capital, Inc. approved maintaining the Fund?s regular monthly distribution rate of $0.2083 for each of the next three months June, July and August. Record dates are June 18, 2024, and July 16, 2024 Respectively. August 15, 2024.
Payable on June 28, 2024, July 31, 2024, and August 30, 2024 Respectively.
Source Capital, Inc. (the Fund) is a diversified, closed-end management investment company. The investment objective of the Fund is to seek maximum total return for common shareholders from both capital appreciation and investment income to the extent consistent with protection of invested capital. The Fund's investments include semiconductor devices; industrial distribution and rental; cement and aggregates; Internet media; cable and satellite; application software; electrical components; chemicals; insurance brokers; diversified banks; base metals; banks; investment companies; food services; integrated utilities; railroad rolling stock, apparel, footwear and accessory design; e-commerce discretionary, hotels; restaurants and leisure; commercial and residential building equipment and systems; automotive retailers; real estate owners and developers; entertainment content; energy; health care services and others. The Fund's investment adviser is First Pacific Advisors, LP.
Source Capital, Inc. Declares Monthly Distributions for the Month of June, July, and August on Common Stock, Payable on June 28, 2024, July 31, 2024, and August 30, 2024 Respectively