Certain Van Kampen Closed-End Funds Declare Dividends
June 01 2007 - 12:00PM
Business Wire
The Board of Trustees of each of the Van Kampen closed-end funds
listed below (the �Funds�) today declared the following dividends.
EX-DATE RECORD DATE REINVEST DATE PAYABLE DATE 6/13/07 6/15/07
6/29/07 6/29/07 For more information call: 1-800-341-2929. Name of
Closed-EndManagement Investment Company Ticker Per share of net
investment income (monthly) Advantage Municipal Income Trust II VKI
$0.0575� Bond Fund VBF $0.2300 (Quarterly) California Value
Municipal Income Trust VCV $0.0675� High Income Trust II VLT
$0.0275� Massachusetts Value Municipal Income Trust VMV $0.0640�
Municipal Opportunity Trust VMO $0.0655� Municipal Trust VKQ
$0.0660� Ohio Quality Municipal Trust VOQ $0.0640� Pennsylvania
Value Municipal Income Trust VPV $0.0595� Select Sector Municipal
Trust VKL $0.0565� Senior Income Trust VVR $0.0615� Trust for
Insured Municipals VIM $0.0615� Trust for Investment Grade
Municipals VGM $0.0665� Trust for Investment Grade New Jersey
Municipals VTJ $0.0670� Trust for Investment Grade New York
Municipals VTN $0.0650� The amount of dividends paid by each fund
may vary from time to time. Past amounts of dividends are no
guarantee of future dividend payment amounts. The final
determination of the source and tax characteristics of all
distributions in 2007 will be made after the end of the year.
Investing involves risk and it is possible to lose money on any
investment in the funds. Van Kampen Asset Management, the Funds'
investment adviser, is a wholly owned subsidiary of Van Kampen
Investments Inc. (�Van Kampen�). Van Kampen is one of the nation�s
largest investment management companies, with approximately $118
billion in assets under management or supervision, as of February
28, 2007. With roots in money management dating back to 1927, Van
Kampen has helped nearly four generations of investors achieve
their financial goals. For more information, visit Van Kampen�s
website at www.vankampen.com. Copyright �2007 Van Kampen Funds Inc.
All Rights Reserved. Member NASD/SIPC. RN06-03420P-N12/06
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