Income Spending Policy
Income Distribution Options
Payout distributed from The Ministry Fund is based on the Income Spending Policy. The Income Spending Policy payout shall be calculated and distributed as similar to a dividend for each unit of the pool. The payout percentage will be reviewed annually with the intent to increase the payout each year unless market conditions dictate otherwise. The pool payout will also be reviewed on a quarterly basis to determine if the rate remains in the 4%-5% corridor. If the pool payout moves outside the corridor in any given quarter, it will be adjusted so that it remains within the corridor.
Distribute Income
- Receive regularly scheduled periodic quarterly distributions of the income. The income is automatically credited to your organization’s bank account and no additional action is needed.
Reinvest Income
- Reinvest Income into the Ministry Trust Fund through the purchase of additional units of ownership. Units are purchased at the market value determined on the last day of the previous month.
Income Spending Policy
Income Distribution Options
Payout distributed from The Ministry Fund is based on the Income Spending Policy. The Income Spending Policy payout shall be calculated and distributed as similar to a dividend for each unit of the pool. The payout percentage will be reviewed annually with the intent to increase the payout each year unless market conditions dictate otherwise. The pool payout will also be reviewed on a quarterly basis to determine if the rate remains in the 4%-5% corridor. If the pool payout moves outside the corridor in any given quarter, it will be adjusted so that it remains within the corridor.
Distribute Income
- Receive regularly scheduled periodic quarterly distributions of the income. The income is automatically credited to your organization’s bank account and no additional action is needed.
Reinvest Income
- Reinvest Income into the Ministry Trust Fund through the purchase of additional units of ownership. Units are purchased at the market value determined on the last day of the previous month.