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Highland Opportunities and Income Fund Announces the Regular Monthly Distribution

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The Highland Opportunities and Income Fund (NYSE: HFRO) has declared its regular monthly distribution of $0.0385 per share, payable on May 30, 2025, to shareholders of record as of May 23, 2025. HFRO is a closed-end fund focused on capital growth and income generation through diverse investments including real estate-backed securities, REITs, fixed-rate loans, corporate bonds, and various other financial instruments. The fund's investment strategy encompasses direct and indirect investments across multiple sectors, including securities convertible into equity, mezzanine debt, structured products, and floating rate investments. The fund maintains a monthly distribution schedule.

Il Highland Opportunities and Income Fund (NYSE: HFRO) ha dichiarato la sua distribuzione mensile regolare di 0,0385 USD per azione, pagabile il 30 maggio 2025 agli azionisti registrati al 23 maggio 2025. HFRO è un fondo chiuso focalizzato sulla crescita del capitale e sulla generazione di reddito attraverso investimenti diversificati, tra cui titoli garantiti da immobili, REIT, prestiti a tasso fisso, obbligazioni societarie e vari altri strumenti finanziari. La strategia di investimento del fondo comprende investimenti diretti e indiretti in diversi settori, inclusi titoli convertibili in azioni, debito mezzanino, prodotti strutturati e investimenti a tasso variabile. Il fondo mantiene un programma di distribuzione mensile.
El Highland Opportunities and Income Fund (NYSE: HFRO) ha declarado su distribución mensual regular de 0,0385 USD por acción, pagadera el 30 de mayo de 2025 a los accionistas registrados al 23 de mayo de 2025. HFRO es un fondo cerrado enfocado en el crecimiento de capital y generación de ingresos a través de inversiones diversificadas, incluyendo valores respaldados por bienes raíces, REITs, préstamos a tasa fija, bonos corporativos y varios otros instrumentos financieros. La estrategia de inversión del fondo abarca inversiones directas e indirectas en múltiples sectores, incluidos valores convertibles en acciones, deuda mezzanine, productos estructurados e inversiones a tasa variable. El fondo mantiene un calendario de distribuciones mensual.
Highland Opportunities and Income Fund (NYSE: HFRO)µç� 주당 0.0385달러ì� 정기 ì›� ë°°ë‹¹ê¸ˆì„ ì„ ì–¸í–ˆìœ¼ë©�, ì´µç” 2025ë…� 5ì›� 30ì�ì—� 2025ë…� 5ì›� 23ì� 기준 주주들ì—ê²� 지급ë©ë‹ˆë‹¤. HFROµç� ë¶€ë™ì‚° ë‹´ë³´ ì¦ê¶Œ, 리츠(REITs), ê³ ì • 금리 대ì¶�, 회사ì±� ë°� 기타 다양í•� 금융 ìƒí’ˆì� í¬í•¨í•� 다양í•� 투ìžë¥� 통해 ìžë³¸ 성장ê³� ì†Œë“ ì°½ì¶œì—� 중ì ì� ë‘� í쇄í˜� 펀드입니다. ì� íŽ€ë“œì˜ íˆ¬ìž ì „ëžµì€ ì£¼ì‹ ì „í™˜ ê°€ëŠ� ì¦ê¶Œ, ë©”ìžë‹� ë¶€ì±�, 구조í™� ìƒí’ˆ ë°� ë³€ë� 금리 투ìžë¥� í¬í•¨í•� 여러 ë¶€ë¬¸ì— ê±¸ì¹œ ì§ì ‘ ë°� ê°„ì ‘ 투ìžë¥� í¬í•¨í•©ë‹ˆë‹�. 펀드µç” 월간 배당 ì¼ì •ì� 유지하고 있습니다.
Le Highland Opportunities and Income Fund (NYSE : HFRO) a déclaré sa distribution mensuelle régulière de 0,0385 $ par action, payable le 30 mai 2025 aux actionnaires inscrits au 23 mai 2025. HFRO est un fonds fermé axé sur la croissance du capital et la génération de revenus grâce à des investissements diversifiés, incluant des titres adossés à l'immobilier, des REIT, des prêts à taux fixe, des obligations d'entreprise et divers autres instruments financiers. La stratégie d'investissement du fonds comprend des investissements directs et indirects dans plusieurs secteurs, notamment des titres convertibles en actions, de la dette mezzanine, des produits structurés et des investissements à taux variable. Le fonds maintient un calendrier de distribution mensuel.
Der Highland Opportunities and Income Fund (NYSE: HFRO) hat seine reguläre monatliche Ausschüttung von 0,0385 USD pro Aktie angekündigt, zahlbar am 30. Mai 2025 an die zum 23. Mai 2025 eingetragenen Aktionäre. HFRO ist ein geschlossener Fonds, der sich auf Kapitalwachstum und Einkommensgenerierung durch vielfältige Investitionen konzentriert, darunter durch Immobilien besicherte Wertpapiere, REITs, Festzinsdarlehen, Unternehmensanleihen und verschiedene andere Finanzinstrumente. Die Anlagestrategie des Fonds umfasst direkte und indirekte Investitionen in mehreren Sektoren, einschließlich in Aktien wandelbare Wertpapiere, Mezzanine-Darlehen, strukturierte Produkte und Anlagen mit variablem Zinssatz. Der Fonds hält einen monatlichen Ausschüttungsplan ein.
Positive
  • Regular monthly dividend payment demonstrates consistent shareholder returns
  • Diversified investment strategy across multiple sectors reduces risk
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  • None.

DALLAS, May 1, 2025 /PRNewswire/ -- The Highland Opportunities and Income Fund (NYSE: HFRO) ("HFRO" or the "Fund") today announced its regular monthly distribution on its common stock ofÌý$0.0385 per share. The distribution will be payable on May 30, 2025, to shareholders of record at the close of business May 23, 2025.

The Fund is a closed-end fund that seeks to provide growth of capital along with income in a registered fund format. The Fund pursues its investment objective by investing directly and indirectly (e.g., through derivatives that are the economic equivalent of direct investments) in the following categories of securities and instruments: (i) investments in securities or other instruments directly or indirectly secured by real estate, including real estate investment trusts ("REITs"), preferred equity, securities convertible into equity securities and mezzanine debt; (ii) other instruments, including, but not limited to, secured and unsecured fixed-rate loans and corporate bonds, distressed securities, mezzanine securities, structured products (including but not limited to mortgage-backed securities, collateralized loan obligations and asset-backed securities), convertible and preferred securities, equities (public and private), and futures and options; and (iii) floating rate loans and other securities deemed to be floating rate investments.

The Fund declares and pays distributions monthly.

About the Highland Opportunities and Income Fund

The Highland Opportunities and Income Fund (NYSE: HFRO) is a closed-end fund managed by NexPoint Asset Management, L.P. For more information visit .

Effective June 15, 2023, the Fund changed its name to the Highland Opportunities and Income Fund to reflect a new investment objective. Under the modified investment objective, the Fund will pursue growth of capital along with income. More information can be found in the announcing the changes, issued on May 16, 2023.

About NexPoint Asset Management, L.P.

NexPoint Asset Management, L.P. is an SEC-registered investment adviser on the NexPoint investment platform. It is the adviser to a suite of registered open-end and close-end funds. For more information visit .

Investors should consider the investment objectives, risks, charges, and expenses of the Highland Opportunities and Income Fund carefully before investing. This and other information can be found in the Fund's prospectus, which may be obtained by calling 1-800-357-9167 or visitingÌý. Please read the prospectus carefully before you invest.

The distribution may include a return of capital. Please refer to the 19(a)-1 Source of Distribution Notice on the Ìýfor Section 19 notices that provide estimated amounts and sources of the Fund's distributions, which should not be relied upon for tax reporting purposes.

No assurance can be given that the Fund will achieve its investment objectives.

Shares of closed-end investment companies frequently trade at a discount to net asset value. The price of the Fund's shares is determined by a number of factors, several of which are beyond the control of the Fund. Therefore, the Fund cannot predict whether its shares will trade at, below or above net asset value. Past performance does not guarantee future results.

Closed-End Fund Risk.ÌýThe Fund is a closed-end investment company designed primarily for long-term investors and not as a trading vehicle. No assurance can be given that a shareholder will be able to sell his or her shares on the NYSE when he or she chooses to do so, and no assurance can be given as to the price at which any such sale may be affected.

Credit Risk.ÌýThe Fund may invest all or substantially all of its assets in Senior Loans or other securities that are rated below investment grade and unrated Senior Loans deemed by NexPoint to be of comparable quality. Securities rated below investment grade are commonly referred to as "high yield securities" or "junk securities." They are regarded as predominantly speculative with respect to the issuing company's continuing ability to meet principal and interest payments. Non-payment of scheduled interest and/or principal would result in a reduction of income to the Fund, a reduction in the value of the Senior Loan experiencing non-payment and a potential decrease in the NAV of the Fund. Investments in high yield Senior Loans and other securities may result in greater NAV fluctuation than if the Fund did not make such investments.

AGÕæÈ˹ٷ½ Estate Industry Risk: Issuers principally engaged in real estate industry, including real estate investment trusts, may be subject to risks similar to the risks associated with the direct ownership of real estate, including: (i)Ìýchanges in general economic and market conditions; (ii)Ìýchanges in the value of real estate properties; (iii)Ìýrisks related to local economic conditions, overbuilding and increased competition; (iv)Ìýincreases in property taxes and operating expenses; (v)Ìýchanges in zoning laws; (vi)Ìýcasualty and condemnation losses; (vii)Ìývariations in rental income, neighborhood values or the appeal of property to tenants; (viii)Ìýthe availability of financing and (ix)Ìýchanges in interest rates and leverage.

Illiquidity of Investments Risk.ÌýThe investments made by the Fund may be illiquid, and consequently the Fund may not be able to sell such investments at prices that reflect the Investment Adviser's assessment of their value or the amount originally paid for such investments by the Fund.

Ongoing Monitoring Risk.ÌýOn behalf of the several Lenders, the Agent generally will be required to administer and manage the Senior Loans and, with respect to collateralized Senior Loans, to service or monitor the collateral.ÌýFinancial difficulties of Agents can pose a risk to the Fund.

CONTACTS

Investor Relations

Kristen Thomas

[email protected]

Media Relations

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SOURCE Highland Opportunities and Income Fund

FAQ

What is the dividend amount for HFRO stock in May 2025?

HFRO announced a monthly dividend of $0.0385 per share for May 2025.

When is the ex-dividend date for Highland Opportunities and Income Fund's May 2025 distribution?

Shareholders must be on record by May 23, 2025, to receive the distribution payable on May 30, 2025.

What type of investments does the Highland Opportunities and Income Fund (HFRO) make?

HFRO invests in real estate-backed securities, REITs, fixed-rate loans, corporate bonds, structured products, convertible securities, and floating rate investments.

How often does HFRO pay distributions to shareholders?

HFRO declares and pays distributions to shareholders on a monthly basis.
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