Cornerstone Funds Announce Continuing Monthly Distributions for 2024 and Distribution Percentage for 2025

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NEW YORK, Aug. 02, 2024 (GLOBE NEWSWIRE) — Cornerstone Strategic Value Fund, Inc. (NYSE American: CLM) (CUSIP: 21924B302) and Cornerstone Total Return Fund, Inc. (NYSE American: CRF) (CUSIP: 21924U300), (individually the “Fund” or, collectively, the “Funds”), each a closed-end management investment company, announced that in keeping with each Fund’s previously adopted monthly distribution policy, each Fund is declaring the following distributions:

Record Date

Payable Date

Per Share

CLM

October 15, 2024

October 31, 2024

$0.1086

CLM

November 15, 2024

November 29, 2024

$0.1086

CLM

December 16, 2024

December 31, 2024

$0.1086

CRF

October 15, 2024

October 31, 2024

$0.1037

CRF

November 15, 2024

November 29, 2024

$0.1037

CRF

December 16, 2024

December 31, 2024

$0.1037

Each Fund’s distribution policy provides for the resetting of the monthly distribution amount per share (“Distribution Amount”) annually, based on each Fund’s net asset value on the last business day of October and the annualized distribution percentage approved by the respective Board of Directors (individually the “Board”, or collectively, the “Boards”).

Distribution Percentage for 2025

Each Board today announced the distribution percentage for the calendar year 2025 will remain at 21%, which will be applied to the net asset value of each Fund as of the end of October 2024 to determine the Distribution Amount for 2025. The Distribution Percentage for 2025 is not a function of, nor is it related to, the investment return on a Fund's portfolio.

The actual data which will determine the monthly Distribution Amount for 2025 will not be known until the end of October 2024. However, as an example, if the value of the net assets and the number of shares outstanding were the same as those on July 31, 2024, the monthly Distribution Amount for 2025 would be reset from $0.1086 per share to $0.1240 per share for CLM and be reset from $0.1037 per share to $0.1185 per share for CRF. The actual Distribution Amount for each Fund for 2025 may be higher or lower than those shown in the above examples.

Each Board believes each Fund’s distribution policy maintains a stable, high rate of distribution. These distributions are not tied to each Fund’s investment income or capital gains and do not represent yield or investment return on each Fund’s portfolio. The Distribution Amount from one calendar year to the next will increase or decrease based on the change in each Fund’s net asset value. The terms of each distribution policy are reviewed and approved at least annually by each Fund’s Board and may be modified at their discretion for the benefit of each Fund and its stockholders.