The Royce Funds 2025 Year-End Distributions
article 12-11-2025

The Royce Funds 2025 Year-End Distributions

The Royce Funds have declared income dividends and capital gains distributions, for the Funds listed below, to Shareholders of record at the close of business on December 10, 2025, ex-dividend and payable on December 11, 2025. The per share amounts are as follows:

Royce Funds: 2025 Distributions

U.S. Equity Funds
CLASS NAMESYMBOLRECORD DATEEX-DATEPAYABLE DATEINCOMES/T GAINSL/T GAINSTOTAL
Consultant Class
RYMCX
12/10/25
12/11/25
12/11/25
1.1808
1.1808
Investment Class
RYOTX
12/10/25
12/11/25
12/11/25
1.6509
1.6509
Service Class
RMCFX
12/10/25
12/11/25
12/11/25
1.5904
1.5904
Consultant Class
RPRCX
12/10/25
12/11/25
12/11/25
0.9166
0.9166
Institutional Class
RPFIX
12/10/25
12/11/25
12/11/25
1.2581
1.2581
Investment Class
RYPRX
12/10/25
12/11/25
12/11/25
1.2408
1.2408
Service Class
RPFFX
12/10/25
12/11/25
12/11/25
1.1914
1.1914
Consultant Class
RYPCX
12/10/25
12/11/25
12/11/25
0.0028
0.4304
0.4332
Institutional Class
RPMIX
12/10/25
12/11/25
12/11/25
0.0525
0.0037
0.5707
0.6269
Investment Class
PENNX
12/10/25
12/11/25
12/11/25
0.0480
0.0037
0.5676
0.6193
Service Class
RYPFX
12/10/25
12/11/25
12/11/25
0.0169
0.0036
0.5627
0.5832
Consultant Class
ROFCX
12/10/25
12/11/25
12/11/25
1.1547
1.1547
Institutional Class
ROFIX
12/10/25
12/11/25
12/11/25
1.5707
1.5707
Investment Class
RYPNX
12/10/25
12/11/25
12/11/25
1.5274
1.5274
R Class
ROFRX
12/10/25
12/11/25
12/11/25
1.3160
1.3160
Service Class
RYOFX
12/10/25
12/11/25
12/11/25
1.3833
1.3833
Consultant Class
RSQCX
12/10/25
12/11/25
12/11/25
0.2140
1.2394
1.4534
Institutional Class
RSEIX
12/10/25
12/11/25
12/11/25
0.3561
1.4354
1.7915
Investment Class
RYSEX
12/10/25
12/11/25
12/11/25
0.3475
1.3862
1.7337
Service Class
RSEFX
12/10/25
12/11/25
12/11/25
0.2984
1.3817
1.6801
Consultant Class
RYTCX
12/10/25
12/11/25
12/11/25
0.0272
0.8107
0.8379
Institutional Class
RTRIX
12/10/25
12/11/25
12/11/25
0.0299
0.0250
0.7461
0.8010
Investment Class
RYTRX
12/10/25
12/11/25
12/11/25
0.0213
0.0257
0.7656
0.8126
R Class
RTRRX
12/10/25
12/11/25
12/11/25
0.0273
0.8139
0.8412
Service Class
RYTFX
12/10/25
12/11/25
12/11/25
0.0267
0.7950
0.8217
Investment Class
RVVHX
12/10/25
12/11/25
12/11/25
0.1008
0.9180
1.0188
Service Class
RYVFX
12/10/25
12/11/25
12/11/25
0.0761
0.9132
0.9893
Institutional Class
RVPIX
12/10/25
12/11/25
12/11/25
0.1671
0.1987
1.0445
1.4103
Investment Class
RVPHX
12/10/25
12/11/25
12/11/25
0.1672
0.1960
1.0303
1.3935
Service Class
RYVPX
12/10/25
12/11/25
12/11/25
0.1318
0.1880
0.9879
1.3077
Global/International Equity Funds
CLASS NAMESYMBOLRECORD DATEEX-DATEPAYABLE DATEINCOMES/T GAINSL/T GAINSTOTAL
Institutional Class
RIPIX
12/10/25
12/11/25
12/11/25
0.1828
0.1828
Investment Class
RIPNX
12/10/25
12/11/25
12/11/25
0.1618
0.1618
Service Class
RYIPX
12/10/25
12/11/25
12/11/25
0.1216
0.1216
Annuity Portfolios
CLASS NAMESYMBOLRECORD DATEEX-DATEPAYABLE DATEINCOMES/T GAINSL/T GAINSTOTAL
Investment Class
RCMCX
12/10/25
12/11/25
12/11/25
1.6481
1.6481
Service Class
RCMSX
12/10/25
12/11/25
12/11/25
1.5898
1.5898
Investment Class
RCPFX
12/10/25
12/11/25
12/11/25
0.1813
0.6967
0.8780
Service Class
RCSSX
12/10/25
12/11/25
12/11/25
0.1699
0.6791
0.8490

For one-, five-, 10-year, and since inception performance as of the most recent quarter-end, please click here

See the complete list of 2025 Distributions & Capital Gains

Important Disclosure Information

The thoughts and opinions expressed in this piece are solely those of the person speaking and may differ from those of other Royce investment professionals, or the firm as a whole. There can be no assurance with regard to future market movements.

This material is not authorized for distribution unless preceded or accompanied by a current prospectus. Please read the prospectus carefully before investing or sending money. The Royce Funds invest primarily in micro-cap, small-cap, and/or mid-cap stocks, which may involve considerably more risk than investing in larger-cap stocks. (Please see “Primary Risks for Fund Investors” in the prospectus.) Past performance is no guarantee of future results. Each Fund may invest to varying degrees of its respective net assets in foreign securities, which may involve political, economic, currency, and other risks not encountered in U.S. investments. (Please see “Investing in Foreign Securities” in the prospectus).

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