{"id":832675,"date":"2025-04-01T16:26:17","date_gmt":"2025-04-01T20:26:17","guid":{"rendered":"https:\/\/www.marketnewsdesk.com\/index.php\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\/"},"modified":"2025-04-01T16:26:17","modified_gmt":"2025-04-01T20:26:17","slug":"xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025","status":"publish","type":"post","link":"https:\/\/www.marketnewsdesk.com\/index.php\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\/","title":{"rendered":"XAI Madison Equity Premium Income Fund Declares Monthly Distributions of $0.06 per Share Payable on May 1, June 2, and July 1, 2025"},"content":{"rendered":"<div class=\"mw_release\">\n<p>CHICAGO, April  01, 2025  (GLOBE NEWSWIRE) &#8212; XAI Madison Equity Premium Income Fund (the \u201cFund\u201d), has declared its regular monthly distribution of $0.06 per share on the Fund\u2019s common shares (NYSE: MCN) payable on May 1, 2025, June 2, 2025, and July 1, 2025. The total amount equals $0.18 and represents no change from the previous quarter&#8217;s distribution amount.<\/p>\n<p>As previously announced in its distribution declaration dated March 3, 2025, the Fund has changed its distribution frequency from quarterly to monthly, effective with the April 1, 2025 declaration. XA Investments believes this change will enable investors to better manage their cash flow needs.<\/p>\n<p>The following dates apply to the declaration: \u00a0<\/p>\n<table style=\"border-collapse: collapse;width:100%;border-collapse:collapse\">\n<tr>\n<td style=\"max-width:25%;width:25%;min-width:25%;border-top: solid black 1pt;border-right: solid black 1pt;border-bottom: solid black 1pt;border-left: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\n            <strong>Ex-Dividend Date<\/strong>\n          <\/td>\n<td style=\"max-width:25%;width:25%;min-width:25%;border-top: solid black 1pt;border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\n            <strong>Record Date<\/strong>\n          <\/td>\n<td style=\"max-width:25%;width:25%;min-width:25%;border-top: solid black 1pt;border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\n            <strong>Payable Date<\/strong>\n          <\/td>\n<td colspan=\"2\" style=\"max-width:25%;width:25%;min-width:25%;border-top: solid black 1pt;border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\n            <strong>Amount Per Share<\/strong>\n          <\/td>\n<\/tr>\n<tr>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;border-left: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">April 15, 2025<\/td>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">April 15, 2025<\/td>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">May 1, 2025<\/td>\n<td colspan=\"2\" style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;padding-left: 0;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">$0.06<\/td>\n<\/tr>\n<tr>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;border-left: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">May 15, 2025<\/td>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">May 15, 2025<\/td>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">June 2, 2025<\/td>\n<td colspan=\"2\" style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;padding-left: 0;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">$0.06<\/td>\n<\/tr>\n<tr>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;border-left: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">June 16, 2025<\/td>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">June 16, 2025<\/td>\n<td style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">July 1, 2025<\/td>\n<td colspan=\"2\" style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;padding-left: 0;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">$0.06<\/td>\n<\/tr>\n<tr>\n<td colspan=\"3\" style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;border-left: solid black 1pt;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\n            <strong>Total Amount of Monthly Distributions <\/strong>\n          <\/td>\n<td colspan=\"2\" style=\"border-right: solid black 1pt;border-bottom: solid black 1pt;padding-left: 0;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\n            <strong>$<\/strong><br \/>\n            <strong>0.18<\/strong>\n          <\/td>\n<\/tr>\n<tr>\n<td colspan=\"3\" style=\"vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\u00a0<\/td>\n<td style=\"padding-right: 0;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\u00a0<\/td>\n<td style=\"padding-left: 0;vertical-align: middle;text-align: left;padding-left: 10.0px;vertical-align: top\">\u00a0<\/td>\n<\/tr>\n<tr>\n<td colspan=\"5\" style=\"vertical-align: top\">Change\u00a0from\u00a0Previous\u00a0Quarter\u00a0\u00a0\u00a0\u00a0\u00a0\u00a0\u00a0\u00a0\u00a0\u00a0\u00a0\u00a0No Change<\/td>\n<\/tr>\n<tr>\n<td colspan=\"5\" style=\"vertical-align: top\">\u00a0<\/td>\n<\/tr>\n<\/table>\n<p>Common share distributions may be paid from net investment income (regular interest and dividends), capital gains and\/or a return of capital. The specific tax characteristics of the distributions will be reported to the Fund\u2019s common shareholders on Form 1099 after the end of the 2025 calendar year. Shareholders should not assume that the source of a distribution from the Fund is net income or profit. For further information regarding the Fund\u2019s distributions, please visit <strong>www.xainvestments.com<\/strong>.<\/p>\n<p>The Fund\u2019s net investment income and capital gain can vary significantly over time; however, the Fund seeks to maintain more stable common share quarterly distributions over time. The Fund\u2019s final taxable income for the current fiscal year will not be known until the Fund\u2019s tax returns are filed.<\/p>\n<p>As a registered investment company, the Fund is subject to a 4% excise tax that is imposed if the Fund does not distribute to common shareholders by the end of any calendar year at least the sum of (i) 98% of its ordinary income (not taking into account any capital gain or loss) for the calendar year and (ii) 98.2% of its capital gain in excess of its capital loss (adjusted for certain ordinary losses) for a one-year period generally ending on December 31 of the calendar year (unless an election is made to use the Fund\u2019s fiscal year). In certain circumstances, the Fund may elect to retain income or capital gain to the extent that the Board of Trustees, in consultation with Fund management, determines it to be in the interest of shareholders to do so.<\/p>\n<p>The common share distributions paid by the Fund for any particular period may be more than the amount of net investment income from that period. As a result, all or a portion of a distribution may be a return of capital, which is in effect a partial return of the amount a common shareholder invested in the Fund, up to the amount of the common shareholder\u2019s tax basis in their common shares, which would reduce such tax basis. Although a return of capital may not be taxable, it will generally increase the common shareholder\u2019s potential gain, or reduce the common shareholder\u2019s potential loss, on any subsequent sale or other disposition of common shares.<\/p>\n<p>Future common share distributions will be made if and when declared by the Fund\u2019s Board of Trustees, based on a consideration of number of factors, including the Fund\u2019s net investment income, financial performance and available cash. There can be no assurance that the amount or timing of common share distributions in the future will be equal or similar to that described herein or that the Board of Trustees will not decide to suspend or discontinue the payment of common share distributions in the future.<\/p>\n<p>The Fund\u2019s objective is to achieve a high level of current income and current capital gains, with long-term capital appreciation as a secondary objective. The Fund intends to pursue its objective by investing in a portfolio of common stocks and utilizing an option strategy, primarily by writing (selling) covered call options on a substantial portion of the common stocks in the portfolio in order to generate current income and gains from option writing premiums and, to a lesser extent, from dividends. Market action can impact dividend issuance as the Fund\u2019s total assets affect the Fund\u2019s future dividend prospects. The Fund provides additional information on its website at <strong>www.xainvestments.com<\/strong>.<\/p>\n<p>\n        <strong>About XA Investments <\/strong>\n      <\/p>\n<p>XA Investments LLC (\u201cXAI\u201d) serves as the Trust\u2019s investment adviser. XAI is a Chicago-based firm founded by XMS Capital Partners in 2016. XAI serves as the investment adviser for two listed closed-end funds and an interval closed-end fund. The listed closed-end funds, the XAI Octagon Floating Rate &amp; Alternative Income Trust (NYSE: XFLT) and XAI Madison Equity Premium Income Fund (NYSE: MCN) both trade on the New York Stock Exchange. The interval closed-end fund, Octagon XAI CLO Income Fund (OCTIX), is newly launched and has been made widely available to investors.<\/p>\n<p>In addition to investment advisory services, the firm also provides investment fund structuring and consulting services focused on registered closed-end funds to meet institutional client needs. XAI offers custom product build and consulting services, including development and market research, sales, marketing, and fund management.<\/p>\n<p>XAI believes that the investing public can benefit from new vehicles to access a broad range of alternative investment strategies and managers. XAI provides individual investors with access to institutional-caliber alternative managers. For more information, please visit <strong>www.xainvestments.com<\/strong>.<\/p>\n<p>\n        <strong>About XMS Capital Partners <\/strong><br \/>\n        <br \/>XMS Capital Partners, LLC, established in 2006, is a global, independent, financial services firm providing\u00a0M&amp;A, corporate advisory and\u00a0asset management\u00a0services to clients. It has offices in Chicago, Boston and London. For more information, please visit <strong>www.xmscapital.com<\/strong>.<\/p>\n<p>\n        <strong>About Madison Investments <\/strong><br \/>\n        <br \/>Madison Investments is an independent investment management firm based in\u00a0Madison, WI.\u00a0The firm was founded in 1974, has approximately\u00a0$28 billion\u00a0in assets under management as of\u00a0December 31, 2024, and is recognized as one of the nation\u2019s top investment firms.\u00a0Madison\u00a0offers domestic fixed income,\u00a0U.S.\u00a0and international equity, covered call, multi-asset, insurance and credit union investment management strategies. For more information, please visit\u00a0<strong>www.madisoninvestments.com<\/strong>.<\/p>\n<p>Madison\u00a0and\/or Madison Investments is the unifying tradename of\u00a0Madison Investment Holdings, Inc.,\u00a0Madison Asset Management, LLC, and\u00a0Madison Investment Advisors, LLC. Madison Funds are distributed by\u00a0MFD Distributor, LLC.\u00a0Madison\u00a0is registered as an investment adviser with the\u00a0U.S. Securities and Exchange Commission.\u00a0MFD Distributor, LLC\u00a0is registered with the\u00a0U.S. Securities and Exchange Commission\u00a0as a broker-dealer and is a member firm of the\u00a0Financial Industry Regulatory Authority\u00a0<strong>www.finra.org<\/strong>.<\/p>\n<p>XAI does not provide tax advice; please consult a professional tax advisor regarding your specific tax situation. Income may be subject to state and local taxes, as well as the federal alternative minimum tax.<\/p>\n<p>Investors should consider the investment objectives and policies, risk considerations, charges and expenses of the Fund carefully before investing. For more information on the Fund, please visit the Fund\u2019s webpage at <strong>www.xainvestments.com<\/strong>.<\/p>\n<p>This press release shall not constitute an offer to sell or a solicitation to buy, nor shall there be any sale of these securities in any state or jurisdiction in which such offer or solicitation or sale would be unlawful prior to registration or qualification under the laws of such state or jurisdiction.<\/p>\n<table align=\"center\" style=\"border-collapse: collapse;width:100%;border-collapse:collapse\">\n<tr>\n<td style=\"max-width:33%;width:33%;min-width:33%;vertical-align: top\">NOT FDIC INSURED\u00a0\u00a0\u00a0\u00a0<\/td>\n<td style=\"max-width:33%;width:33%;min-width:33%;text-align: center;vertical-align: middle;vertical-align: bottom\">NO BANK GUARANTEE<\/td>\n<td style=\"max-width:34%;width:34%;min-width:34%;text-align: right;vertical-align: middle;vertical-align: bottom\">MAY LOSE VALUE<\/td>\n<\/tr>\n<tr>\n<td style=\"vertical-align: top\">\u00a0<\/td>\n<td style=\"text-align: center;vertical-align: middle;vertical-align: bottom\">\u00a0<\/td>\n<td style=\"text-align: right;vertical-align: middle;vertical-align: bottom\">\u00a0<\/td>\n<\/tr>\n<\/table>\n<p>\n        <strong>Media Contact: <\/strong>\n      <\/p>\n<p>Kimberly Flynn, President<br \/> XA Investments LLC<br \/> Phone: \u00a0888-903-3358<br \/>Email: <a href=\"https:\/\/www.globenewswire.com\/Tracker?data=-4qcF_j5oL9j9dxa_loJ8xudT5maY5YKcmMapRrrsdLW-w17aFE0Qg5r6lS6eIpFr3FP3-tByUU4vEHEbitstpcL1_PiznFBQwOwOEccf45dq-iNDG0ouG81PzfZxrSu\" rel=\"nofollow\" target=\"_blank\">KFlynn@XAInvestments.com<\/a><br \/><a href=\"https:\/\/www.globenewswire.com\/Tracker?data=u7hZ6bSQG3qqEq4Wu7pwqdWh99MreV4KLLLzZE_RTtDp5JnGps5_pUNqiuF0CDqTS9vm50OC8RS_q-SqcIpejhQ5iSV28N9i_G9-ZULkrAc=\" rel=\"nofollow\" target=\"_blank\">www.xainvestments.com<\/a><\/p>\n<p>      <img decoding=\"async\" alt=\"\" class=\"__GNW8366DE3E__IMG\" src=\"https:\/\/www.globenewswire.com\/newsroom\/ti?nf=OTQxNTE5NyM2ODQ1ODQxIzUwMDEzMzQ5OQ==\" \/><br \/>\n      <br \/>\n      <img decoding=\"async\" alt=\"\" src=\"https:\/\/ml.globenewswire.com\/media\/ZWZiYmI0MTYtYjU1Zi00ZmJjLWExOGQtYWRhZmVlMzVmYTM5LTUwMDEzMzQ5OS0yMDI1LTA0LTAxLWVu\/tiny\/XAI-Madison-Equity-Premium-Inc.png\" \/>\n    <\/div>\n<div class=\"mw_contactinfo\"><\/div>\n","protected":false},"excerpt":{"rendered":"<p>CHICAGO, April 01, 2025 (GLOBE NEWSWIRE) &#8212; XAI Madison Equity Premium Income Fund (the \u201cFund\u201d), has declared its regular monthly distribution of $0.06 per share on the Fund\u2019s common shares (NYSE: MCN) payable on May 1, 2025, June 2, 2025, and July 1, 2025. The total amount equals $0.18 and represents no change from the previous quarter&#8217;s distribution amount. As previously announced in its distribution declaration dated March 3, 2025, the Fund has changed its distribution frequency from quarterly to monthly, effective with the April 1, 2025 declaration. XA Investments believes this change will enable investors to better manage their cash flow needs. The following dates apply to the declaration: \u00a0 Ex-Dividend Date Record Date Payable Date Amount Per Share &hellip; <\/p>\n<p class=\"link-more\"><a href=\"https:\/\/www.marketnewsdesk.com\/index.php\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\/\" class=\"more-link\">Continue reading<span class=\"screen-reader-text\"> &#8220;XAI Madison Equity Premium Income Fund Declares Monthly Distributions of $0.06 per Share Payable on May 1, June 2, and July 1, 2025&#8221;<\/span><\/a><\/p>\n","protected":false},"author":2,"featured_media":0,"comment_status":"closed","ping_status":"closed","sticky":false,"template":"","format":"standard","meta":{"footnotes":""},"categories":[],"tags":[],"class_list":["post-832675","post","type-post","status-publish","format-standard","hentry"],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v27.5 - https:\/\/yoast.com\/product\/yoast-seo-wordpress\/ -->\n<title>XAI Madison Equity Premium Income Fund Declares Monthly Distributions of $0.06 per Share Payable on May 1, June 2, and July 1, 2025 - Market Newsdesk<\/title>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/www.marketnewsdesk.com\/index.php\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\/\" \/>\n<meta property=\"og:locale\" content=\"en_US\" \/>\n<meta property=\"og:type\" content=\"article\" \/>\n<meta property=\"og:title\" content=\"XAI Madison Equity Premium Income Fund Declares Monthly Distributions of $0.06 per Share Payable on May 1, June 2, and July 1, 2025 - Market Newsdesk\" \/>\n<meta property=\"og:description\" content=\"CHICAGO, April 01, 2025 (GLOBE NEWSWIRE) &#8212; XAI Madison Equity Premium Income Fund (the \u201cFund\u201d), has declared its regular monthly distribution of $0.06 per share on the Fund\u2019s common shares (NYSE: MCN) payable on May 1, 2025, June 2, 2025, and July 1, 2025. The total amount equals $0.18 and represents no change from the previous quarter&#8217;s distribution amount. As previously announced in its distribution declaration dated March 3, 2025, the Fund has changed its distribution frequency from quarterly to monthly, effective with the April 1, 2025 declaration. XA Investments believes this change will enable investors to better manage their cash flow needs. The following dates apply to the declaration: \u00a0 Ex-Dividend Date Record Date Payable Date Amount Per Share &hellip; Continue reading &quot;XAI Madison Equity Premium Income Fund Declares Monthly Distributions of $0.06 per Share Payable on May 1, June 2, and July 1, 2025&quot;\" \/>\n<meta property=\"og:url\" content=\"https:\/\/www.marketnewsdesk.com\/index.php\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\/\" \/>\n<meta property=\"og:site_name\" content=\"Market Newsdesk\" \/>\n<meta property=\"article:published_time\" content=\"2025-04-01T20:26:17+00:00\" \/>\n<meta property=\"og:image\" content=\"https:\/\/www.globenewswire.com\/newsroom\/ti?nf=OTQxNTE5NyM2ODQ1ODQxIzUwMDEzMzQ5OQ==\" \/>\n<meta name=\"author\" content=\"Newsdesk\" \/>\n<meta name=\"twitter:card\" content=\"summary_large_image\" \/>\n<meta name=\"twitter:label1\" content=\"Written by\" \/>\n\t<meta name=\"twitter:data1\" content=\"Newsdesk\" \/>\n\t<meta name=\"twitter:label2\" content=\"Est. reading time\" \/>\n\t<meta name=\"twitter:data2\" content=\"6 minutes\" \/>\n<script type=\"application\/ld+json\" class=\"yoast-schema-graph\">{\"@context\":\"https:\\\/\\\/schema.org\",\"@graph\":[{\"@type\":\"Article\",\"@id\":\"https:\\\/\\\/www.marketnewsdesk.com\\\/index.php\\\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\\\/#article\",\"isPartOf\":{\"@id\":\"https:\\\/\\\/www.marketnewsdesk.com\\\/index.php\\\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\\\/\"},\"author\":{\"name\":\"Newsdesk\",\"@id\":\"https:\\\/\\\/www.marketnewsdesk.com\\\/#\\\/schema\\\/person\\\/482f27a394d4fda80ecb5499e519d979\"},\"headline\":\"XAI Madison Equity Premium Income Fund Declares Monthly Distributions of $0.06 per Share Payable on May 1, June 2, and July 1, 2025\",\"datePublished\":\"2025-04-01T20:26:17+00:00\",\"mainEntityOfPage\":{\"@id\":\"https:\\\/\\\/www.marketnewsdesk.com\\\/index.php\\\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\\\/\"},\"wordCount\":1240,\"image\":{\"@id\":\"https:\\\/\\\/www.marketnewsdesk.com\\\/index.php\\\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\\\/#primaryimage\"},\"thumbnailUrl\":\"https:\\\/\\\/www.globenewswire.com\\\/newsroom\\\/ti?nf=OTQxNTE5NyM2ODQ1ODQxIzUwMDEzMzQ5OQ==\",\"inLanguage\":\"en-US\"},{\"@type\":\"WebPage\",\"@id\":\"https:\\\/\\\/www.marketnewsdesk.com\\\/index.php\\\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\\\/\",\"url\":\"https:\\\/\\\/www.marketnewsdesk.com\\\/index.php\\\/xai-madison-equity-premium-income-fund-declares-monthly-distributions-of-0-06-per-share-payable-on-may-1-june-2-and-july-1-2025\\\/\",\"name\":\"XAI Madison Equity Premium Income Fund Declares Monthly Distributions of $0.06 per Share Payable on May 1, June 2, and July 1, 2025 - 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