2025 Distribution Estimates for Our Open-End Funds
article 10-21-2025

2025 Distribution Estimates for Our Open-End Funds

Key Dates—Record: 12/10/25, Ex-Date: 12/11/25, Payable: 12/11/25

Please check back, as the below estimates are subject to change and we will provide updated estimates as they become available.

Royce Funds: 2025 Estimated Distributions

U.S. Equity Funds
  ESTIMATED DISTRIBUTION PER SHARE 
CLASS NAMESYMBOLRECORD DATEEX-DATEPAYABLE DATEINCOMES/T GAINSL/T GAINSTOTAL% OF NAV
Consultant Class
RYMCX
12/10/25
12/11/25
12/11/25
1.1999
1.1999
13.32%
Investment Class
RYOTX
12/10/25
12/11/25
12/11/25
1.6743
1.6743
13.31%
Service Class
RMCFX
12/10/25
12/11/25
12/11/25
1.6134
1.6134
13.31%
Consultant Class
RPRCX
12/10/25
12/11/25
12/11/25
0.8368
0.8368
9.99%
Institutional Class
RPFIX
12/10/25
12/11/25
12/11/25
1.1479
1.1479
9.99%
Investment Class
RYPRX
12/10/25
12/11/25
12/11/25
1.1288
1.1288
9.99%
Service Class
RPFFX
12/10/25
12/11/25
12/11/25
1.0836
1.0836
9.99%
Consultant Class
RYPCX
12/10/25
12/11/25
12/11/25
0.3858
0.3858
5.28%
Institutional Class
RPMIX
12/10/25
12/11/25
12/11/25
0.0568
0.5104
0.5672
5.87%
Investment Class
PENNX
12/10/25
12/11/25
12/11/25
0.0530
0.5083
0.5613
5.83%
Service Class
RYPFX
12/10/25
12/11/25
12/11/25
0.0282
0.5038
0.5320
5.58%
Consultant Class
ROFCX
12/10/25
12/11/25
12/11/25
0.9759
0.9759
7.53%
Institutional Class
ROFIX
12/10/25
12/11/25
12/11/25
1.3226
1.3226
7.53%
Investment Class
RYPNX
12/10/25
12/11/25
12/11/25
1.2852
1.2852
7.53%
R Class
ROFRX
12/10/25
12/11/25
12/11/25
1.1083
1.1083
7.53%
Service Class
RYOFX
12/10/25
12/11/25
12/11/25
1.1650
1.1650
7.53%
Consultant Class
RSQCX
12/10/25
12/11/25
12/11/25
0.1862
1.1965
1.3827
9.96%
Institutional Class
RSEIX
12/10/25
12/11/25
12/11/25
0.3023
1.3181
1.6204
10.60%
Investment Class
RYSEX
12/10/25
12/11/25
12/11/25
0.2954
1.3304
1.6258
10.54%
Service Class
RSEFX
12/10/25
12/11/25
12/11/25
0.2614
1.3279
1.5893
10.32%
Consultant Class
RYTCX
12/10/25
12/11/25
12/11/25
0.0266
0.7080
0.7346
9.19%
Institutional Class
RTRIX
12/10/25
12/11/25
12/11/25
0.0617
0.0245
0.6517
0.7379
10.03%
Investment Class
RYTRX
12/10/25
12/11/25
12/11/25
0.0547
0.0251
0.6668
0.7466
9.92%
R Class
RTRRX
12/10/25
12/11/25
12/11/25
0.0098
0.0267
0.7103
0.7468
9.31%
Service Class
RYTFX
12/10/25
12/11/25
12/11/25
0.0300
0.0262
0.6952
0.7514
9.57%
Investment Class
RVVHX
12/10/25
12/11/25
12/11/25
0.1053
1.0048
1.1101
10.65%
Service Class
RYVFX
12/10/25
12/11/25
12/11/25
0.0851
0.9971
1.0822
10.47%
Institutional Class
RVPIX
12/10/25
12/11/25
12/11/25
0.1587
0.2030
0.7520
1.1137
12.09%
Investment Class
RVPHX
12/10/25
12/11/25
12/11/25
0.1587
0.1998
0.7400
1.0985
12.11%
Service Class
RYVPX
12/10/25
12/11/25
12/11/25
0.1306
0.1915
0.7093
1.0314
11.87%
Investment Class
RDVIX
12/10/25
12/11/25
12/11/25
0.0473
0.3113
4.7857
5.1443
84.47%
Service Class
RYDVX
12/10/25
12/11/25
12/11/25
0.0364
0.3259
5.0105
5.3728
84.35%
Global/International Equity Funds
CLASS NAMESYMBOLRECORD DATEEX-DATEPAYABLE DATEINCOMES/T GAINSL/T GAINSTOTAL% OF NAV
Institutional Class
RIPIX
12/10/25
12/11/25
12/11/25
0.1553
0.1553
1.21%
Investment Class
RIPNX
12/10/25
12/11/25
12/11/25
0.1374
0.1374
1.07%
Service Class
RYIPX
12/10/25
12/11/25
12/11/25
0.1043
0.1043
0.67%
Annuity Portfolios
CLASS NAMESYMBOLRECORD DATEEX-DATEPAYABLE DATEINCOMES/T GAINSL/T GAINSTOTAL% OF NAV
Investment Class
RCMCX
12/10/25
12/11/25
12/11/25
1.6327
1.6327
14.74%
Service Class
RCMSX
12/10/25
12/11/25
12/11/25
1.5728
1.5728
14.74%
Investment Class
RCPFX
12/10/25
12/11/25
12/11/25
0.1749
0.6786
0.8535
8.60%
Service Class
RCSSX
12/10/25
12/11/25
12/11/25
0.1661
0.6621
0.8282
8.55%

Important Disclosure Information

These estimates are provided as of October 14, 2025, are subject to changes and will be periodically updated before the final amounts are calculated in December. Portfolio transactions, market conditions and/or changes in the number of a Fund’s outstanding shares could affect these estimates substantially. Past performance is not indicative of future returns.

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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