Boulder Growth & Income Fund, Inc.
Location
Colorado
Founded
2006-01-26
Website
Risk Signals
12830 news mentions monitored
Industry Context
This company is tracked across risk categories, including those related to its sector (e.g., Management Investment Offices, Open-End), including supply chain integrity, ESG practices, labor disputes, and regulatory compliance.
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Recent Articles about Boulder Growth & Income Fund, Inc.
Live alerts from global media, monitored by Business Radar

2025-08-02 (businesswire.com)
Western Asset Emerging Markets Debt Fund Inc. (EMD or "the Fund"; CUSIP: 95766A101) Announces Notification of Sources of Distributions
NEW YORK--(BUSINESS WIRE)--Western Asset Emerging Markets Debt Fund Inc. [NYSE: EMD]
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2025-08-02 (marketwatch.com)
FSCJX | Fidelity SAI Canada Equity Index Fund Overview
Investment Policy. The Fund seeks to provide investment results that correspond to the total return of Canadian stocks. Investing in securities included in...
Read more2025-08-01 (stocktitan.net)
Angel Oak FINS Boosts Monthly Distribution to $0.115, Yields 10% | FINS Stock News
Angel Oak FINS increases monthly distribution backed by 7.68% coupon bank investments. Portfolio optimization drives higher income potential. See full details.
Read more2025-08-01 (stocktitan.net)
Allspring Utilities Fund Announces 100% Net Investment Income Distribution | ERH Stock News
Allspring Utilities Fund reports monthly distribution sources, featuring 100% net investment income allocation. Key tax implications and fiscal performance data inside.
Read more2025-08-01 (morningstar.com)
ABRDN JAPAN EQUITY FUND, INC. (JEQ) ANNOUNCES COMMENCEMENT OF 50% CASH TENDER OFFER | Morningstar
PHILADELPHIA, Aug. 1, 2025 /PRNewswire/ -- abrdn Japan Equity Fund, Inc. (NYSE: JEQ), a diversified management investment company, announced today the commencement of the previously disclosed cash tender offer to purchase up to 7,072,985 shares, representing approximately 50% of the Fund's outstanding shares, at a price per share equal to 98% of the Fund's net asset value ("NAV") per share as determined by the Fund on the next business day immediately following the expiration date of the tender offer (the "Tender Offer"). The Tender Offer commences at 12:01 am, August 1, 2025, and will expire at 5:00 p.m. New York City time on September 2, 2025, unless otherwise extended. It is expected that the payment of the Tender Offer proceeds will be made as soon as practicable after the September 2, 2025 expiration date of the Tender Offer. The payment date is currently estimated to be on or about September 12, 2025, unless the expiration date is otherwise extended.
Read more2025-08-01 (stocktitan.net)
XAI Madison Equity Premium Income Fund Declares its Monthly Distribution of $0.060 per Share
XAI Madison Fund continues consistent monthly payouts through covered call strategy. September distribution maintains $0.060 per share rate. See full dividend details.
Read more2025-08-01 (stocktitan.net)
Highland Opportunities Fund Declares $0.0385 Monthly Distribution | HFRO Stock News
Highland Opportunities Fund announces $0.0385 per share monthly distribution, payable August 29. Discover payment details and fund's diverse investment strategy. See Details.
Read more2025-08-01 (stocktitan.net)
JFrog (FROG) insider files Form 144 to sell 1,694 shares, $72K | ACP SEC Filing - Form 424B5
JFrog insider files Form 144 to sell 1,694 shares (~$72K) on 08/01/25, adding to 32.9K shares sold in prior 3 months. Minimal 0.0015% of float.
Read more2025-08-01 (prnewswire.com)
DoubleLine Yield Opportunities Fund Declares August 2025 Distribution
/PRNewswire/ -- The DoubleLine Yield Opportunities Fund (the "Fund"), which is traded on the New York Stock Exchange under the symbol DLY, has declared a...
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2025-08-01 (businesswire.com)
Clarion Partners Real Estate Income Fund Inc. (CPREX) Announces Tender Offer
NEW YORK--(BUSINESS WIRE)--Clarion Partners Real Estate Income Fund Inc. (the "Fund"), which offers Class S Shares (CPRSX), Class T Shares (CPRTX), Class D Shares (CPRDX) and Class I Shares (CPREX), announced today that the Fund's Board of Directors has approved a tender offer for up to 5.0% of the Fund's aggregate net asset value ("NAV"), subject to the right to purchase additional shares representing up to 2.0% of the Fund's NAV without amending or extending the offer. The tender offer will be conducted at a price equal to the Fund's NAV per share of common stock on the day on which the tender offer expires. The Fund intends to commence its tender offer on or about September 16, 2025, with the expiration of the tender offer currently expected to be October 15, 2025.
Read more2025-07-31 (globalswf.com)
Fund of the Month: Citizens of Israel Fund (CIF) () Global SWF
In 2022, Israel formally established CIF, a traditional SWFs sourced from natural gas revenues, and with clear mechanisms for deposits and withdrawals, in order to provide macroeconomic stability and save for future generations. We were delighted to speak with Ms. Lena Krupalnik, the Fund's Head of Management Department, about CIF's current portfolio and strategy, and future ambitions.
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2025-07-31 (businesswire.com)
BRW Announces Notification of Sources of Distributions
Saba Capital Income & Opportunities Fund (NYSE: BRW) (the "Fund"), a registered closed-end management investment company listed on the New York Stock Exchang...
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