Each Fund pays its shareholders dividends from any net investment income and distributes net capital gains that it has realized, if any, after offset by net capital loss carryovers. Income dividends and capital gain distributions, if any, are normally declared and paid annually. Your distributions will be reinvested in shares of the distributing Fund unless you instruct the Fund otherwise.
Taxes
Generally, you will be taxed when you sell or exchange shares of a Fund and when you receive distributions (whether reinvested in additional shares or taken in cash). Typically, your tax treatment will be as follows:
Transaction Tax treatment: | |
Income dividend | Ordinary income or qualified dividend income |
Net short term capital gain distribution | Ordinary income |
Net long term capital gain distribution | Long term capital gain |
Sale or exchange of shares held for more than one year | Long term capital gain or loss |
Sale or exchange of shares held for one year or less | Gains that are not offset by capital losses are treated as ordinary income; net losses are subject to special rules. |
2022 Distributions
Fund | Record Date | Ex & Pay Date | Ordinary Income | Long Term Capital Gain |
Midas Magic | 12/28/2022 | 12/29/2022 | None | $1.10 |
Midas Fund | 12/28/2022 | 12/29/2022 | None | None |
2021 Distributions
Fund
| Record Date | Ex & Pay Date | Ordinary Income | Long Term Capital Gain |
Midas Magic | 12/29/2021 | 12/30/2021 | None | $2.05 |
Midas Fund | 12/29/2021 | 12/30/2021 | None | None |
2020 Distributions
Fund | Record Date | Ex & Pay Date | Ordinary Income | Long Term Capital Gain |
Midas Magic | 12/29/20 | 12/30/20 | None | $0.64 |
Midas Fund | 12/29/20 | 12/30/20 | None | None |
2019 Distributions
Fund | Record Date | Ex & Pay Date | Ordinary Income | Long Term Capital Gain |
Midas Magic | 12/27/19 | 12/30/19 | None | $0.92 |
Midas Fund | 12/27/19 | 12/30/19 | None | None |
2018 Distributions
Fund | Record Date | Ex & Pay Date | Ordinary Income | Long Term Capital Gain |
Midas Magic | 12/27/18 | 12/28/18 | None | $0.72 |
Midas Fund | 12/27/18 | 12/28/18 | None | None |