Press Release: NYLI CBRE Global Infrastructure Megatrends Term Fund (NYSE: MEGI) Declares Monthly Distributions for December 2025, January and February 2026 and Availability of 19(a) Notice

Dow Jones12-12 22:00
NEW YORK--(BUSINESS WIRE)--December 12, 2025-- 

NYLI CBRE Global Infrastructure Megatrends Term Fund (the "Fund") $(MEGI)$ today declared three distributions of $0.1250 per common share for the months of December 2025 and January and February 2026. The Fund's current annualized distribution rate is 11.10% based upon the closing price of $13.51 on December 10, 2025, and 9.89% based upon the Fund's closing NAV of $15.16 as of the same date.

Dividend Distribution Schedule:

 
               Ex-Dividend Date  Record Date  Payable Date 
-------------  ----------------  -----------  ------------ 
December 2025  12-22-2025        12-22-2025   12-31-2025 
-------------  ----------------  -----------  ------------ 
January 2026   1-26-2026         1-26-2026    1-30-2026 
-------------  ----------------  -----------  ------------ 
February 2026  2-23-2026         2-23-2026    2-27-2026 
-------------  ----------------  -----------  ------------ 
 

The amounts and sources of distributions reported in this Notice are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.

You should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund's Distribution Policy.

The Fund estimates that it has distributed more than its income and net realized capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund's investment performance and should not be confused with "yield" or "income."

Future earnings of the Fund cannot be guaranteed, and the Fund's distribution policy is subject to change. For more information on the Fund, please visit the Fund's website here.

The Fund's monthly distribution is set by its Board of Trustees. The Board reviews the Fund's distribution on a quarterly basis in view of its net investment income, realized and unrealized gains, and other net unrealized appreciation or income expected during the remainder of the year. The Fund strives to establish a level monthly distribution that, over the course of the year, will serve to distribute an amount closely approximating the Fund's net investment income and net realized capital gains during the year.

The following tables set forth the estimated sources of income of the current distribution and the cumulative distributions paid this fiscal year to date from the following sources: net investment income, net realized short-term capital gains, net realized long-term capital gains and return of capital or other capital source. All amounts are expressed on a per share of common stock basis and as a percentage of the distribution amount.

For the period from December 1, 2025, to February 28, 2026, the Fund has declared three (3) regular monthly distributions totaling $0.375 per share. The sources of the distribution declared for each month are estimated as follows:

 
                            Data as of 12/31/2025 
                                                                  Fiscal YTD 
                                                  Fiscal YTD      Percent of 
                   Current        Percent of      Cumulative        Total 
                 Distribution      Current       Distribution     Cumulative 
Source            per Share      Distribution     per Share     Distributions 
Net Investment 
 Income            $0.1250           100%          $0.8750           100% 
--------------  --------------  --------------  --------------  -------------- 
Net Realized 
 Short-Term 
 Capital 
 Gains             $0.0000            0%           $0.0000            0% 
--------------  --------------  --------------  --------------  -------------- 
Net Realized 
 Long-Term 
 Capital 
 Gains             $0.0000            0%           $0.0000            0% 
--------------  --------------  --------------  --------------  -------------- 
Return of 
 Capital or 
 Other Capital 
 Sources           $0.0000            0%           $0.0000            0% 
--------------  --------------  --------------  --------------  -------------- 
Total per 
 Share             $0.1250           100%          $0.8750           100% 
--------------  --------------  --------------  --------------  -------------- 
                             Data as of 1/31/2026 
                                                                  Fiscal YTD 
                                                  Fiscal YTD      Percent of 
                   Current        Percent of      Cumulative        Total 
                 Distribution      Current       Distribution     Cumulative 
Source            per Share      Distribution     per Share     Distributions 
Net Investment 
 Income            $0.0000            0%           $0.8750           88% 
--------------  --------------  --------------  --------------  -------------- 
Net Realized 
 Short-Term 
 Capital 
 Gains             $0.0000            0%           $0.0000            0% 
--------------  --------------  --------------  --------------  -------------- 
Net Realized 
 Long-Term 
 Capital 
 Gains             $0.0000            0%           $0.0000            0% 
--------------  --------------  --------------  --------------  -------------- 
Return of 
 Capital or 
 Other Capital 
 Sources           $0.1250           100%          $0.1250           12% 
--------------  --------------  --------------  --------------  -------------- 
Total per 
 Share             $0.1250           100%          $1.0000           100% 
 
 
                             Data as of 2/28/2026 
                                                                  Fiscal YTD 
                                                  Fiscal YTD      Percent of 
                   Current        Percent of      Cumulative        Total 
                 Distribution      Current       Distribution     Cumulative 
Source            per Share      Distribution     per Share     Distributions 
Net Investment 
 Income            $0.0000            0%           $0.8750           78% 
--------------  --------------  --------------  --------------  -------------- 
Net Realized 
 Short-Term 
 Capital 
 Gains             $0.0000            0%           $0.0000            0% 
--------------  --------------  --------------  --------------  -------------- 
Net Realized 
 Long-Term 
 Capital 
 Gains             $0.0000            0%           $0.0000            0% 
--------------  --------------  --------------  --------------  -------------- 
Return of 
 Capital or 
 Other Capital 
 Sources           $0.1250           100%          $0.2500           22% 
--------------  --------------  --------------  --------------  -------------- 
Total per 
 Share             $0.1250           100%          $1.1250           100% 
--------------  --------------  --------------  --------------  -------------- 
 
   Fund Performance and Distribution Rate Information as of 
                          11/30/2025 
 Average annual total return(1) in relation to the net asset 
                          value $(NAV)$                               2.79% 
--------------------------------------------------------------  -------------- 
Annualized current distribution rate expressed as a percentage 
               of month end NAV as of 11/30/2025                   9.52%(2) 
--------------------------------------------------------------  -------------- 
Cumulative total return(3) in relation to NAV (not annualized) 
          for the fiscal period ending 11/30/31/2025                8.58% 
--------------------------------------------------------------  -------------- 
 Cumulative fiscal year distribution rate as a percentage of 
                     NAV as of 11/30/2025                          4.76%(4) 
 
 
1  Represents the annualized total return in relation to the change in NAV 
   from inception (10/27/2021) through 11/30/2025. 
2  Represents the current monthly distribution rate annualized as a percentage 
   of NAV as of 11/30/2025. 
3  Represents the cumulative total return in relation to the change in NAV for 
   the current fiscal period 6/1/2025 through 11/30/2025. 
4  Represents the cumulative distribution rate for the current fiscal period 
   6/1/2025 through 11/30/2025, which is determined by dividing the dollar 
   value of distributions in the period by the NAV as of 11/30/2025. 
 

There is no assurance the Fund will continue to pay regular monthly distributions or that it will do so at a particular rate.

You should not draw any conclusions about the Fund's investment performance from the amount of its distribution to shareholders.

Any distributions in excess of the Fund's current and accumulated earnings and profits will be treated first, as a tax-deferred return of capital, which is applied against and will reduce the adjusted tax basis of shares and, after such adjusted basis is reduced to zero, will generally constitute capital gains. A return of capital distribution may lower a shareholder's basis in the Fund, causing a potential future tax consequence in connection with the sale of Fund shares, even if such shares are sold at a loss to the shareholder's initial investments.

Any amounts and sources of distributions are only estimated and are not being provided for tax reporting purposes. The actual amounts and sources of income of the amounts for tax reporting purposes will depend on the Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send a Form 1099-DIV for the calendar year that will advise how to report these distributions for federal income tax purposes.

The Fund is a closed-end fund, which is traded on the New York Stock Exchange and invests primarily in income-producing equity securities issued by infrastructure companies. Holdings are subject to change. Past performance is no guarantee of future results.

The Fund's daily New York Stock Exchange closing prices, net asset values per share, as well as other information are available by clicking here or by calling the Fund's shareholder servicing agent at (855) 456-9683.

Before considering an investment in the Fund, you should understand that you could lose money. There are risks inherent in all investments.

For more information about the Fund, including specific risks, please visit our website here.

About New York Life Investments

With over $799.4 billion in assets under management as of September 30, 2025, New York Life Investments, a Pensions & Investments' Top 30 Largest Money Manager*, is comprised of the affiliated global asset management businesses of its parent company, New York Life Insurance Company, and offers clients access to specialized, independent investment teams through its family of affiliated boutiques. New York Life Investments remains committed to clients through a combination of the diverse perspectives of its boutiques and a long-lasting focus on sustainable relationships.

*New York Life Investment Management ranked 28(th) largest institutional investment manager in Pensions & Investments' Largest Money Managers 2025 published June 2025, based on worldwide institutional AUM as of 12/31/24. No direct or indirect compensation was paid for the creation and distribution of this ranking.

About CBRE Investment Management

CBRE Investment Management Listed Real Assets LLC is the listed real assets arm of CBRE Investment Management, a leading global real assets investment management firm with $155.8 billion in assets under management* as of September 30, 2025, operating in 20 countries around the world. Through its investor-operator culture, the firm seeks to deliver sustainable investment solutions across real assets categories, geographies, risk profiles and execution formats so that its clients, people and communities thrive.

CBRE Investment Management is an independently operated affiliate of CBRE Group, Inc. $(CBRE)$, the world's largest commercial real estate services and investment firm (based on 2024 revenue). The company has more than 140,000 employees (including Turner & Townsend employees) serving clients in more than 100 countries. CBRE Investment Management harnesses CBRE's data and market insights, investment sourcing and other resources for the benefit of its clients. For more information, please visit www.cbreim.com.

*Assets under management (AUM) refers to the fair market value of real assets-related investments with respect to which CBRE Investment Management provides, on a global basis, oversight, investment management services and other advice and which generally consist of investments in real assets; equity in funds and joint ventures; securities portfolios; operating companies and real assets-related loans. This AUM is intended principally to reflect the extent of CBRE Investment Management's presence in the global real assets market, and its calculation of AUM may differ from the calculations of other asset managers and from its calculation of regulatory assets under management for purposes of certain regulatory filings.

This press release is not an offer to sell securities and is not a solicitation of an offer to buy securities, nor will there be any sales of securities in any jurisdiction where the offer or sale is not permitted.

New York Life Investment Management LLC engages the services of SEC-registered advisors. CBRE Investment Management Listed Real Assets (CBRE Investment Management) is unaffiliated with New York Life Investment Management LLC. "New York Life Investments" is both a service mark, and the common trade name, of certain investment advisors affiliated with New York Life Insurance Company. Securities distributed by NYLIFE Distributors LLC, 30 Hudson Street, Jersey City, NJ 07302, Member FINRA/SIPC.

View source version on businesswire.com: https://www.businesswire.com/news/home/20251212595870/en/

 
    CONTACT:    Media Contacts: 

New York Life Investments:

Sara Guenoun

Sara_J_Guenoun@newyorklife.com

 
 

(END) Dow Jones Newswires

December 12, 2025 09:00 ET (14:00 GMT)

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