U.S. Bancorp Asset Management, Inc. Announces Financial Positions for Closed-End Funds
September 23 2014 - 6:38PM
Business Wire
U.S. Bancorp Asset Management, Inc. (NYSE:USB) today announced
the financial positions for the following closed-end funds for the
month ended August 31, 2014.
Net investment income and distribution
information for the month ended August 31, 2014:
Accumulated Monthly Monthly
Net Undistributed Common Preferred
Investment Net Investment Stock Stock
Income/ Income/ Fund
Symbol Distributions (a)
Distributions (b) Share (c)
Share (d) American Municipal Income Portfolio XAA
$0.0800 $0.0072 $0.0804 $0.1331 Minnesota Municipal Income
Portfolio MXA $0.0715 $0.0074 $0.0725 $0.0990 Minnesota Municipal
Income Fund II MXN $0.0600 $0.0105 $0.0598 $0.0733
N/A = Not Applicable
Financial positions for the month ended
August 31, 2014:
Total Assets
Net Assets (e) NAV (1) per
Fund Symbol (000)
(000) Common Share
American Municipal Income Portfolio XAA $133,275 $89,579 $15.56
Minnesota Municipal Income Portfolio MXA $96,936 $64,971 $15.67
Minnesota Municipal Income Fund II MXN $35,667 $22,279 $15.13
Financial positions for the month ended
August 31, 2013:
Total Assets
Net Assets (e) NAV (1) per
Fund Symbol (000)
(000) Common Share
American Municipal Income Portfolio XAA $122,313 $78,685 $13.67
Minnesota Municipal Income Portfolio MXA $90,306 $59,100 $14.25
Minnesota Municipal Income Fund II MXN $32,924 $19,817 $13.46
Financial positions for the month ended
August 31, 2012:
Total Assets
Net Assets (e) NAV (1) per
Fund Symbol (000)
(000) Common Share
American Municipal Income Portfolio XAA $134,728 $90,721 $15.76
Minnesota Municipal Income Portfolio MXA $99,183 $67,041 $16.17
Minnesota Municipal Income Fund II MXN $36,959 $23,320 $15.84
(1) NAVs are priced as of the close of
business on the month-end and year as indicated above.
(a) These distributions were declared on July 18, 2014, had an
ex-dividend date of August 1, 2014, and were paid on August 20,
2014 to shareholders of record on August 5, 2014.
(b) Calculated by dividing preferred distributions paid during
the month by the number of common shares outstanding.
(c) Based on a three-month average.
(d) Accumulated undistributed net investment income is reflected
in a fund's net asset value. Any reduction of this amount will
reduce net asset value penny-for-penny.
(e) The difference between net assets and total assets is
primarily due to the issuance of preferred stock; net assets
reflect common stock only.
The aforementioned financial data is unaudited. It has, however,
been obtained from sources deemed reliable.
Distributions are payable in cash or, pursuant to the funds’
dividend reinvestment plans, reinvested in additional shares of the
funds’ common stock. Under each fund’s plan, fund shares will be
purchased on the exchange on which the fund is listed or elsewhere
on the open market.
Minneapolis-based U.S. Bancorp Asset Management, Inc. serves as
investment advisor to the First American Closed-End Funds. A
subsidiary of U.S. Bank National Association, U.S. Bancorp Asset
Management focuses on providing investment management services to
institutional clients, including corporations, public entities and
nonprofits. It has combined assets under management of more than
$51 billion as of August 31, 2014. First American Closed-End Funds
are subadvised by Nuveen Fund Advisors, Inc. and Nuveen Asset
Management, LLC.
Investment products, including shares of closed-end funds, are
not obligations of, or guaranteed by, any bank, including U.S. Bank
National Association or any U.S. Bancorp affiliate, nor are they
insured by the Federal Deposit Insurance Corporation, the Federal
Reserve Board, or any other agency. An investment in such products
involves investment risk, including possible loss of principal.
U.S. Bank National Association is a separate entity and wholly
owned subsidiary of U.S. Bancorp, the fifth-largest commercial bank
in the United States, and provides a comprehensive line of banking,
brokerage, insurance, investment, mortgage, trust and payment
services products to consumers, businesses and institutions. Visit
U.S. Bancorp on the web at www.usbank.com.
U.S. Bancorp Asset Management, Inc.Investor Services,
800-677-3863
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