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BOSTON, December 17, 2024--(BUSINESS WIRE)--Amundi US today announced the declaration of dividends for a Pioneer closed-end fund for December 2024.
Ex-Date: |
| December 27, 2024 |
Record Date: |
| December 27, 2024 |
Payable: |
| January 10, 2025 |
Ticker |
| Taxable Fund |
| Distribution |
| Change From |
HNW |
| Pioneer Diversified High Income Fund, Inc. |
| $0.0975 |
| - |
|
| Market |
| Market Price |
| NAV |
| NAV |
Pioneer Diversified High Income Fund, Inc. |
| $12.31 |
| 9.50% |
| $13.04 |
| 8.97% |
If any Fund estimates that any portion of its distribution may be comprised of amounts from sources other than net investment income, the Fund will provide shareholders a separate written notice. These notices are provided for informational purposes only, and should not be used for tax reporting purposes. The final determination of tax characteristics of each Fund’s distributions will occur after the end of its fiscal year, at which time it will be reported to shareholders. A return of capital is not a distribution of income or capital gains from the Fund, does not necessarily reflect the Fund's investment performance, and should not be considered "yield" or "income."
The closing market price and NAV is based on data as of December 16, 2024. The Market Price Distribution Rate is calculated by dividing the latest declared monthly distribution per share (annualized) by the market price. The NAV Distribution Rate is calculated by dividing the latest declared monthly distribution per share (annualized) by the NAV per share.
The fund is a closed-end investment company and trades on the NYSE American (NYSEAMER) under the symbol: HNW.
Keep in mind, distribution rates are not guaranteed. A fund’s distribution rate may be affected by numerous factors, including changes in actual or projected investment income, the level of undistributed net investment income, if any, and other factors. Shareholders should not draw any conclusions about a fund’s investment performance based on a fund’s current distributions. Closed-end funds, unlike open-end funds, are not continuously offered. Once issued, common shares of closed-end funds are bought and sold in the open market through a stock exchange and frequently trade at prices lower than their net asset value. Net Asset Value (NAV) is total assets less total liabilities divided by the number of common shares outstanding. For performance data on Amundi US’s closed-end funds, please call 800-225-6292 or visit our closed-end pricing page.