FS Energy Total Return Fund



Closed-end interval fund

Investment objectives




Fund information

Daily NAV $0.00
Daily NAV change ($) $0.00
Daily NAV change (%) ––
Distribution rate (at NAV) -

Fund materials

View Pricing Disclosure For Footnote

Key facts

Min. initial investment 0.00
Net assets -
Sponsor commitment -
Net expense ratio 4 0.00%
Share class inception date 12/31/2016
Share repurchase program
Gross expense ratio 0.00%
View key facts disclosure for Footnotes
View risk factors disclosure

Corporate governance

Securities offered through ALPS Distributors, Inc. (1280 Broadway, Suite 1100, Denver, CO 80203, member FINRA), the distributor of FS Energy Total Return Fund. FS Investment Solutions, LLC is an affiliated broker-dealer that serves as the exclusive wholesale marketing agent for FS Energy Total Return Fund. FS Investment Solutions, LLC and ALPS Distributors, Inc. are not affiliated. An investment in FS Energy Total Return Fund (the “Fund”) involves a high degree of risk and may be considered speculative. Investors are advised to consider the investment objectives, risks, and charges and expenses of the Fund carefully before investing. The Fund’s prospectus contains this and other information about the Fund. Investors may obtain a copy of the Fund’s prospectus free of charge at www.fsinvestments.com or by contacting FS Investments at 201 Rouse Blvd., Philadelphia, PA 19112 or by phone at 877-372-9880. Investors should read and carefully consider all information found in the Fund’s prospectus and other reports filed with the U.S. Securities and Exchange Commission before investing.


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