share_log

Abrdn Asia-Pacific Income Fund VCC Announces Pricing of 2024 Voluntary Cash Redemption

Abrdn Asia-Pacific Income Fund VCC Announces Pricing of 2024 Voluntary Cash Redemption

Abrdn 亚太收益基金 VCC 宣布了 2024 年自愿现金赎回的定价
Accesswire ·  03/28 08:07

TORONTO, ON / ACCESSWIRE / March 28, 2024 / abrdn Asia-Pacific Income Fund VCC (TSX:FAP)(UEN:T21VC0235H) (the "Company"), a closed-end investment company trading on the Toronto Stock Exchange, announced today that ordinary shares (the "Shares") accepted for the 2024 voluntary cash redemption will be redeemed at a rounded price of $3.20 per Share in Canadian dollars. This price is equal to 100% of the average net asset value per Share based on the three business days preceding the redemption date of March 28, 2024, less direct costs. The pro-rata redemption rate will be 0.223 (i.e., for every 1,000 Shares submitted by a shareholder for redemption, 223 Shares will be redeemed). Payment of the redemption proceeds will be made on or before April 19, 2024. Shares that will be redeemed remain eligible for the March 2024 distribution.

安大略省多伦多/ACCESSWIRE/2024年3月28日/abrdn亚太收益基金VCC(多伦多证券交易所股票代码:FAP)(UEN: T21VC0235H)(“公司”)今天宣布,接受2024年自愿现金赎回的普通股(“股票”)将按每股3.20加元的四舍五入价格兑换。该价格等于2024年3月28日赎回日前三个工作日的每股平均净资产价值的100%减去直接成本。按比例赎回率为0.223(即,股东每提交1,000股赎回股票,将赎回223股股票)。赎回收益将在2024年4月19日当天或之前支付。将要赎回的股票仍然有资格获得2024年3月的分配。

Important Information
Past performance is no guarantee of future results. Investment returns and principal will fluctuate and shares, when sold, may be worth more or less than the original cost. Current performance may be lower or higher than the performance data quoted. NAV returned data includes investment management fees, custodial charges, bank loan expenses and administrative fees (such as Director and legal fees) and assumes the reinvestment of all distributions. The Company is subject to investment risk, including the possible loss of principal. Total return based on net asset value reflects changes in the Company's net asset value during each period. Total return based on market price reflects changes in market value.

重要信息
过去的表现并不能保证未来的业绩。投资回报和本金将波动,股票出售后的价值可能高于或低于原始成本。当前性能可能低于或高于引用的性能数据。资产净值返回的数据包括投资管理费、托管费用、银行贷款费用和管理费(例如董事费和律师费),并假设所有分配都进行了再投资。公司面临投资风险,包括可能的本金损失。基于净资产价值的总回报反映了公司每个时期净资产价值的变化。基于市场价格的总回报反映了市场价值的变化。

abrdn is the registered marketing name in Canada for the following entities: abrdn Canada Limited, abrdn Investments Luxembourg S.A., abrdn Capital Partners LLP, abrdn Investment Management Limited, abrdn Alternative Funds Limited, and Aberdeen Capital Management LLC. abrdn Canada Limited is registered as a Portfolio Manager and Exempt Market Dealer in all provinces and territories of Canada as well as an Investment Fund Manager in the provinces of Ontario, Quebec, and Newfoundland and Labrador.

abrdn 是以下实体在加拿大的注册市场名称:abrdn Canada Limited、abrdn Investments Luxemberson S.A.、abrdn Capital Partners LLP、abrdn Investment Management Limited、abrdn Alternative Funds Limited和Aberden Capital Management LLC。abrdn Canada Limited在加拿大所有省份和地区注册为投资组合经理和豁免市场交易商,并在安大略省注册为投资基金经理,以及纽芬兰和拉布拉多。

Closed-end funds are traded on the secondary market through one of the stock exchanges. The Company's investment return and principal value will fluctuate so that an investor's shares may be worth more or less than the original cost. Shares of closed-end funds may trade above (a premium) or below (a discount) the net asset value (NAV) of the company's portfolio. There is no assurance that the Company will achieve its investment objective. Past performance does not guarantee future results.

封闭式基金通过其中一个证券交易所在二级市场上交易。公司的投资回报和本金价值将波动,因此投资者的股票价值可能高于或低于原始成本。封闭式基金的股票交易价格可能高于公司投资组合的净资产价值(NAV)(溢价)或低于(折扣)。无法保证公司会实现其投资目标。过去的表现并不能保证未来的业绩。

# # #

# #

For More Information Contact:
abrdn Inc.
Investor Relations
1-800-992-6341
Investor.Relations@abrdn.com

欲了解更多信息,请联系:
abrdn Inc.
投资者关系
1-800-992-6341
Investor.Relations@abrdn.com

SOURCE: abrdn Asia-Pacific Income Fund VCC

来源:abrdn 亚太收益基金 VCC


声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
    抢沙发