Goldman Sachs Asset Management Announces Quarterly Distribution of $0.220 Per Share
10 Février 2023 - 3:16PM
Business Wire
Goldman Sachs MLP and Energy Renaissance Fund (the “Fund”)
(NYSE: GER) is announcing its quarterly distribution of $0.220
per common share, which represents a 10% increase over the
distribution amount for the previous quarter. The distribution is
payable on the date noted below.
The distribution schedule is as follows:
Ex-Date:
February 21, 2023
Record Date:
February 22, 2023
Payable Date:
February 28, 2023
Amount:
$0.220 per share
It is currently anticipated that a portion of this distribution
will be treated for tax purposes as a return of capital, however,
the final characterization of such distribution will be made in
2023 when the Fund can determine its earnings and profits for the
full year. The final tax status of the distribution may differ
substantially from this preliminary information.
“As the Fund’s investment income continues to grow we remain
committed to returning the majority of that income to shareholders
and are thus increasing our dividend by 10% this quarter,” said
lead Portfolio Manager Kyri Loupis.
In addition, portfolio holdings as of December 31, 2022, as well
as additional information regarding the Fund, can be accessed
through the Goldman Sachs Asset Management Closed-End Fund landing
page at www.GSAMFUNDS.com/cef.
Goldman Sachs MLP and Energy Renaissance Fund
Goldman Sachs MLP and Energy Renaissance Fund is a
non-diversified, closed-end management investment company managed
by Goldman Sachs Asset Management’s Energy & Infrastructure
Team, which is among the industry’s largest MLP investment
groups.
The Fund began trading on the NYSE on September 26, 2014. The
Fund seeks a high level of total return with an emphasis on current
distributions to shareholders. The Fund invests primarily in master
limited partnerships (“MLPs”) and other energy investments. The
Fund currently expects to concentrate its investments in the energy
sector, with an emphasis on midstream MLP investments. The Fund
invests across the energy value chain, including upstream,
midstream and downstream investments.
About Goldman Sachs Asset Management, L.P.
Bringing together traditional and alternative investments,
Goldman Sachs Asset Management provides clients around the world
with a dedicated partnership and focus on long-term performance. As
the primary investing area within Goldman Sachs (NYSE: GS), we
deliver investment and advisory services for the world’s leading
institutions, financial advisors and individuals, drawing from our
deeply connected global network and tailored expert insights,
across every region and market – overseeing more than $2 trillion
in assets under supervision worldwide as of December 31, 20221.
Driven by a passion for our clients’ performance, we seek to build
long-term relationships based on conviction, sustainable outcomes,
and shared success over time. Follow us on LinkedIn.
Disclosures
Shares of closed-end investment companies frequently trade at a
discount from their net asset value (“NAV”), which may increase
investors’ risk of loss. At the time of sale, an investor’s shares
may have a market price that is above or below NAV, and may be
worth more or less than the original investment. There is no
assurance that the Fund will meet its investment objective. Past
performance does not guarantee future results. Investments in
securities of MLPs involve risks that differ from investments in
common stock, including among others risks related to limited
control and limited rights to vote on matters affecting MLPs,
potential conflicts of interest risk, cash flow risks, dilution
risks and trading risks.
This press release shall not constitute an offer to sell or a
solicitation of an offer to buy any security. The Fund has
completed its initial public offering. Investors should consider
their investment goals, time horizons and risk tolerance before
investing in the Fund. An investment in the Fund is not appropriate
for all investors, and the Fund is not intended to be a complete
investment program. Investors should carefully review and consider
the Fund’s investment objective, risks, charges and expenses before
investing.
Compliance Code: 306555.OTU
Date of First Use: February 10, 2023
_________________________ 1 Assets Under
Supervision (AUS) includes assets under management and other client
assets for which Goldman Sachs does not have full discretion. AUS
figure as of December 31, 2022.
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Media Contact: Avery Reed Tel: 212-902-5400
Investor Contact: Charles Sturges Tel: 212-902-7996
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