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SALIENT Midstream & MLP基金公布截至2022年8月31日的未经审计净资产价值

2022-09-09 05:07

  • Salient Midstream & MLP Fund has announced unaudited statement of assets and liabilities, Net Asset Value as of August 31, 2022
  • The Fund currently anticipates the Reorganization will be completed after market close of the NYSE on September 13, 2022.
  • On August 31, 2022, the Fund's total assets were $161.9 million and the NAV per share was $9.12. On August 31, 2022 the closing share price of the Fund was $9.01, which was trading at a 1.2% discount to the NAV.
  • The Fund's NAV and market price total returns for the month of August were 3.8% and 9.4%, respectively, compared to 0.1% for the Alerian Midstream Energy Select Total Return Index (AMEIX).
  • The Fund's NAV and market price total returns year-to-date (YTD) were 26.1% and 38.3%, respectively, compared to 22.0% for the AMEIX.
  • Source: Press Release

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