FUND Sprott Focus Trust, Inc.

NEUTRAL Impact: 2/10 PRESS-RELEASE
Horizon days Filed Jun 2, 2026 Processed 10d 11h ago Wire GlobeNewswire
Press release: dividend
Latest settled — T+1d
FUND ▲ +3.05% at T+1d
NEUTRAL call ✓ call won +3.05% · α vs SPY +2.65% · entry $10.16 → $10.47
Next anchor: T+5d due 4d ago
Currently $10.12 · -0.39% from $10.16 entry
Entry anchored
Jun 2, 2026
via day open
T+1d
+3.05%
call +3.05% · α +2.65%
$10.47
settled 10d ago
T+5d
call — · α —
due 4d ago
T+20d
call — · α —
in 18d
T+60d
call — · α —
in 2mo

Price Chart

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Executive Summary

Sprott Focus Trust declared a quarterly distribution of $0.1424 per share, payable June 29, 2026, under its 6% annual NAV-based distribution policy. The distribution is primarily sourced from long-term capital gains (71.07%) and net investment income (25.21%), with no return of capital. This is a routine quarterly dividend announcement with no material change to the fund's financial position.

Actionable Insight

This is a routine quarterly distribution with no change in policy or rate. The fund's 5-year NAV total return of 11.70% and year-to-date cumulative return of 20.50% indicate strong underlying performance, but the distribution itself is not a catalyst. Monitor next quarterly NAV update for any material change in asset values or distribution policy.

Key Facts

  • Quarterly distribution of $0.1424 per share declared on common stock
  • Distribution payable June 29, 2026 to holders of record June 12, 2026
  • Distribution sourced 71.07% from net realized long-term gains, 25.21% from net investment income, 3.72% from net realized short-term gains, 0% return of capital
  • Annualized current distribution rate is 4.99% of NAV as of May 31, 2026
  • 5-year average annual total return in relation to NAV is 11.70%
  • Cumulative total return for fiscal year through May 31, 2026 is 20.50%

Financial Impact

Quarterly distribution of $0.1424 per share, annualized rate of 4.99% of NAV

dividenddistribution rate

Risk Factors

  • Distribution policy is subject to change at Board discretion
  • Distribution sources are estimates and may differ for tax reporting
  • Closed-end fund shares may trade at a discount to NAV

Market Snapshot

Exchange
Nasdaq

Documents Analyzed

This report is based on 1 press release from GlobeNewswire.

DocumentAccession Number
PRESS-RELEASE Data (Synthetic)press-3305671
2 reports for FUND
Performance horizon
Filters
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Reports for FUND — sortable, filterable
Type Now
Jun 2, 2026
10d ago
Press Release
NEUTRAL ★ 2/10
$10.16 $10.47▲ +3.05%▲ +2.65%$10.12 (−0.39%)
Mar 3, 2026
14w ago
Press Release
NEUTRAL ★ 3/10
$9.90 $9.67▼ −2.29%▼ −1.72%$10.12 (+2.21%)
Showing 2 of 2

US Market Status

Market Closed — Opens Mon (53h 14m)

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