Income and Opportunity®

  • Dividend Income
  • Dividend Growth
  • Infrastructure
  • MLPs
  • Miller/Howard Investments is an independent, research-driven investment boutique with more than 25 years of experience managing portfolios for major institutions, mutual funds, and individuals in dividend-focused investment strategies.

    We are research and fact driven. Built on a foundation of our own proprietary studies and research by others, Miller/Howard has a long history focused on dividend and distribution-oriented strategies.

    What drives the firm’s philosophy is a belief that financially strong companies with rising dividends offer the most consistent performance, as well as the highest added value. Our mission is to provide investment vehicles that generate sustainable income and opportunity for appreciation.

    Our diversified portfolio strategies invest in energy, infrastructure, real assets, essential services, and master limited partnerships. We invest in high-quality stocks with high current dividend yield and strong dividend growth. Our teams work closely with clients and investors to develop innovative products, including strategic indexes and a closed-end fund, Miller/Howard High Income Equity Fund.

    As investors with a long term vision, we employ talented, experienced and industrious people and look for a commitment to pursue the highest standards of excellence as an organization.

    We align our interests with those of our clients, investing alongside our investors' capital and providing accountability and a high degree of transparency in our quarterly reports and white papers. Consistent with our goals of emphasizing high quality companies, we offer Socially Responsible Investment options that use an integrated approach, combining our disciplined financial analysis with research on companies' environmental, social, and governance policies and practices.

    Miller/Howard is an SEC-registered and employee-owned investment management firm.

    Fund Risks
    The market price of equity securities may be affected by financial market, industry, or issuer-specific events. Focus on a particular style or on small or medium-sized companies may enhance that risk.

    The Miller/Howard High Income Equity Fund is a closed-end fund traded on the New York Exchange (Symbol HIE). Shares must be purchased through a professional financial advisor.

    There is no guarantee that the portfolio will meet its objective.

    Shares of closed-end investment companies such as the Fund may trade in the market above, at, or below net asset value. This characteristic is a risk separate and distinct from the risk that the Fund’s net asset value could decline. The Fund is not able to predict whether its shares will trade above, below, or at net asset value in the future.

    Leverage Risk. The use of leverage, which can be described as exposure to changes in price at a ratio greater than the amount of equity invested magnifies both the favorable and unfavorable effects of price movements in the investments made by the Fund. The Fund’s use of leverage in its investment operations subjects it to substantial risk of loss.

    © 2018 Miller/Howard High Income Equity Fund