RMK Strategic Income Fund Declares $0.14 Per Share Distribution.MEMPHIS Memphis, city, ancient Egypt Memphis (mĕm`fĭs), ancient city of Egypt, capital of the Old Kingdom (c.3100–c.2258 B.C.), at the apex of the Nile delta and 12 mi (18 km) from Cairo. , Tenn. -- The Board of Directors of RMK RMK Remark (Weather METAR) RMK Rocky Mountain King (Polaris Snowmobiles) RMK Remarks RMK Resource Manager Kernel Strategic Income Fund, Inc. (NYSE NYSE See: New York Stock Exchange : RSF RSF RSF (Rudolph Steiner Foundation) Social Finance RSF Reporters Sans Frontières (French: Reporters Without Borders) RSF Reporteros Sin Fronteras (Spanish: Reporters Without Borders) ) today declared three monthly distributions of $0.14 per share. Monthly distributions will be payable on March 21, 2007, April 19, 2007 and May 21, 2007 to stockholders of record on March 15, April 13 and May 15, respectively. Ex-dividend dates are March 13, April 11 and May 11. RMK Strategic Income Fund, Inc. is a diversified, closed-end investment company closed-end investment company: see mutual fund. seeking a high level of current income with capital appreciation as a secondary investment objective. About Morgan Asset Management: Morgan Asset Management, Inc. is the investment advisory arm of Regions Financial Corporation (NYSE: RF). Morgan Asset Management is the investment advisor to Regions Morgan Keegan Trust, Regions Morgan Keegan Select Funds, Morgan Keegan Select Fund, Inc., RMK Advantage Income Fund, Inc., RMK High Income Fund, Inc., RMK Multi-Sector High Income Fund, Inc. and RMK Strategic Income Fund, Inc. With locations throughout the South, Morgan Asset Management, an affiliate of Morgan Keegan & Co. Inc., manages more than $33 billion for institutions and high net worth individuals. Additional information about Morgan Asset Management, Morgan Keegan and Regions--a member of the S&P 100 Index--can be found at www.morgankeegan.com and www.regions.com. For Additional Information: Additional information about RMK Strategic Income Fund, Inc., including the fund's annual and semi-annual reports to stockholders, prospectus and statement of additional information Statement of Additional Information (SAI) A document provided as a supplement to a mutual fund prospectus. It provides more detailed information about fund policies, operations, and risks. Also known as a Part B prospectus. may be obtained by visiting the fund's website at www.rmkfunds.com or by calling 800-564-2188. |
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