DWS Municipal Income Trust $(KTF)$ has announced its regular monthly distribution for July 2025. The declaration date is July 8, 2025, with the ex-date and record date set for July 21, 2025. The payable date is July 31, 2025. The distribution per share remains consistent at $0.0610, the same as the prior distribution. The Fund aims to distribute all or substantially all of its net investment income each year through regular monthly distributions and intends to distribute any realized capital gains at least annually.
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