News

Oakmark Capital Gain Tax Estimates

July 25, 2025

Capital gain distributions will be paid to shareholders of record as of Wednesday, December 10, 2025. Important dates to note are as follows:

Record date: December 10, 2025
Ex-dividend date: December 11, 2025
Pay date: December 12, 2025

Please note that the 2025 capital gain distribution estimates are based on holdings as of June 30, 2025, and are subject to change. Updated estimates will be available near late November and will include income estimates in addition to capital gain estimates. Actual distributions will be announced Thursday, December 11, 2025, and may differ from the estimates as a result of, among other things, gains and losses realized through the end of the year and tax adjustments. The actual total distribution will include income distributions in addition to capital gain distributions if any.

FundEstimated 2025 capital gain distribution as a % of NAV12024 capital gain distribution as a % of NAV12023 capital gain distribution as a % of NAV12022 capital gain distribution as a % of NAV1
Oakmark0.00%0.00%0.00%0.00%
Oakmark Select0.00%0.00%0.00%0.00%
Oakmark Global0.00%0.00%2.66%0.00%
Oakmark Global Select0.00%0.00%0.00%0.00%
Oakmark International0.00%0.00%0.00%0.00%
Oakmark International Small Cap3.43%3.75%0.00%0.56%
Oakmark Equity and Income0.00%0.00%0.00%0.00%
Oakmark Bond0.00%0.00%0.00%0.00%

View Historical Distributions.

Funds with 0.00% listed in the table are not expected to pay any capital gains at this time.

1 The capital gain distribution includes both short-term and long-term capital gains

Please note that the 2025 distribution information stated above is ESTIMATED. Each Fund’s closing net asset value (NAV) on Thursday, December 11, 2025, will be reduced by the amount of the actual distribution plus or minus any market activity for the day. These estimates are for all share classes.




Past performance is no guarantee of future results. This data is for information only and should not be construed as an official tax form, nor should it be considered tax or investment advice. Please consult your tax advisor for information specific to your particular situation.

NAV stands for Net Asset Value. NAV is the dollar value of a single mutual fund share based on the value of the underlying assets of the fund minus its liability divided by the number of shares outstanding.

Investing involves risk; principal loss is possible. There is no guarantee the Fund’s investment objective will be achieved.

Investing in value stocks presents the risk that value stocks may fall out of favor with investors and underperform growth stocks during given periods.