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Brookfield Funds’ Monthly Distribution Declaration

October 5, 2018

NEW YORK, Oct. 05, 2018 (GLOBE NEWSWIRE) -- Brookfield Global Listed Infrastructure Income Fund Inc. (NYSE: INF) and Brookfield Real Assets Income Fund Inc. (NYSE: RA) (each, a “Fund,” and collectively, the “Funds”) today announced that their Boards of Directors declared their monthly distributions for October, November and December 2018.

Brookfield Global Listed Infrastructure Income Fund Inc.

Month Record Date Ex Date Payable Date Amount per Share ------------- ----------------- ----------------- ----------------- ---------------- October 2018 October 17, 2018 October 16, 2018 October 25, 2018 $0.0817 ------------- ----------------- ----------------- ----------------- ---------------- November 2018 November 14, 2018 November 13, 2018 November 21, 2018 $0.0817 ------------- ----------------- ----------------- ----------------- ---------------- December 2018 December 19, 2018 December 18, 2018 December 27, 2018 $0.0817 ------------- ----------------- ----------------- ----------------- ----------------

Brookfield Real Assets Income Fund Inc.

Month Record Date Ex Date Payable Date Amount per Share ------------- ----------------- ----------------- ----------------- ---------------- October 2018 October 17, 2018 October 16, 2018 October 25, 2018 $0.1990 ------------- ----------------- ----------------- ----------------- ---------------- November 2018 November 14, 2018 November 13, 2018 November 21, 2018 $0.1990 ------------- ----------------- ----------------- ----------------- ---------------- December 2018 December 19, 2018 December 18, 2018 December 27, 2018 $0.1990 ------------- ----------------- ----------------- ----------------- ----------------

Shares purchased on or after the ex-distribution date will not receive the distribution discussed above. Please contact your financial advisor with any questions. Distributions may include net investment income, capital gains and/or return of capital. Any portion of the Fund’s distributions that is a return of capital does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income.” The tax status of distributions will be determined at the end of the taxable year.

Brookfield Investment Management Inc. (the “Firm”) is an SEC-registered investment adviser and represents the Public Securities platform of Brookfield Asset Management, Inc., providing global listed real assets strategies including real estate equities, infrastructure equities, multi-strategy real asset solutions and real asset debt. With approximately $20 billion of assets under management as of June 30, 2018, the Firm manages separate accounts, registered funds and opportunistic strategies for institutional and individual clients, including financial institutions, public and private pension plans, insurance companies, endowments and foundations, sovereign wealth funds and high net worth investors. The Firm is a wholly-owned subsidiary of Brookfield Asset Management, Inc., a leading global alternative asset manager with over $285 billion of assets under management as of June 30, 2018. For more information, go to www.brookfield.com.

Brookfield Global Listed Infrastructure Income Fund Inc. and Brookfield Real Assets Income Fund Inc. are managed by Brookfield Investment Management Inc. The Funds use their website as a channel of distribution of material company information. Financial and other material information regarding the Funds are routinely posted on and accessible at www.brookfield.com.

COMPANY CONTACTBrookfield Global Listed Infrastructure Income Fund Inc.Brookfield Real Assets Income Fund Inc.Brookfield Place250 Vesey Street, 15th FloorNew York, NY 10281-1023(855) 777-8001 publicsecurities.enquiries@brookfield.com

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