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Mulvihill Capital Management Inc. Announces Special Meeting of World Financial Split Corp.

Mulvihill Capital Management Inc. Announces Special Meeting of World Financial Split Corp.

Mulvihill Capital Management Inc. 宣布世界金融拆分公司举行特别会议
GlobeNewswire ·  05/15 20:51

TORONTO, May 15, 2024 (GLOBE NEWSWIRE) -- (TSX: WFS) Mulvihill Capital Management Inc. (the "Manager"), the manager of World Financial Split Corp. (the "Fund") announced today that the board of directors of the Fund has approved a proposal to change the investment objectives, strategy and restrictions of the Fund and to amend the articles of the Fund, all as more particularly described in the management information circular (the "Circular") for the special meeting (the "Meeting") of the Fund's shareholders (the "Shareholders").

多伦多,2024 年 5 月 15 日(GLOBE NEWSWIRE)——(多伦多证券交易所股票代码:WFS)世界金融拆分公司(“基金”)的经理穆尔维希尔资本管理公司(“管理人”)今天宣布,该基金董事会已批准一项修改基金投资目标、战略和限制以及修改基金条款的提案,管理信息通告中对此进行了更具体的描述(基金股东(“股东”)特别会议(“会议”)的 “通函”)。

The purpose of the Meeting is to consider and vote upon a special resolution to reposition and recapitalize the Fund to enhance its ability to meet its investment objectives going forward by making the following changes. In this regard, the Fund proposes to change the following (collectively, the "Proposed Amendments"):

会议的目的是审议一项特别决议并对其进行表决,该决议旨在对基金进行重新定位和资本重组,通过进行以下修改来提高其实现未来投资目标的能力。在这方面,基金提议修改以下内容(统称为 “拟议修正案”):

  • the investment objectives, strategy and restrictions of the Fund to expand and diversify the portfolio of equity securities to global equity securities selected by the Manager and increase the dividend on the Preferred Shares to $0.0625 per month (7.5% on the original $10.00 issue price) and reinstate the Class A Share distribution (targeted at 12.0% per annum payable monthly on the consolidated Class A Share net asset value per share of approximately $8.00 per share);
  • the articles of the Fund to:
    • change the name of the Fund to "Premium Global Income Split Corp.";
    • consolidate the Class A Shares of the Fund in order to reset the net asset value per Class A Share to approximately $8.00 per share;
    • change the existing Preferred Shares of the Fund into a number of Class A Shares and a lesser number of the same class of Preferred Shares to be determined based on the number of shares surrendered pursuant to the Special Retraction Right referred to below (for example, assuming a 4:1 Class A Share consolidation, the Manager would expect 100 Preferred Shares to be exchanged into approximately 41 Class A Shares and 66 Preferred Shares with a value initially equal to the value of the Preferred Shares so exchanged. The exact numbers into which such shares are proposed to be changed shall be announced on June 17, 2024);
    • extend the Termination Date of the Fund from June 30, 2025 to June 30, 2029 and provide the directors of the Fund with the ability to extend the Termination Date for successive five year terms;
    • eliminate the $15.00 net asset value per Unit dividend threshold on Class A Shares;
    • provide holders of Class A Shares and Preferred Shares who do not wish to continue their investment in the Fund with a special retraction right (the "Special Retraction Right") to enable such Shareholders to retract their shares on June 28, 2024 on the same terms that would have applied had the Fund redeemed all Shares as originally contemplated for June 30, 2025 and provide that the Shareholders who wish to exercise the Special Retraction Right must give notice that they wish to exercise such right on or prior to June 14, 2024; and
    • create an unlimited number of new classes of shares, issuable in an unlimited number of series and authorize the directors of the Fund to determine the rights, privileges and restrictions attaching to each such series.
  • 本基金的投资目标、策略和限制,以扩大股票证券投资组合并将其分散到经理选择的全球股票证券,并将优先股的股息提高至每月0.0625美元(原10.00美元发行价的7.5%),并恢复A类股票分配(目标为每年12.0%,按合并后的每股A类股票净资产价值约8.00美元每月支付);
  • 基金的条款以:
    • 将基金名称改为 “Premium Global Income Split Corp.”;
    • 合并基金的A类股份,以将每股A类股票的净资产价值重置为每股约8.00美元;
    • 将基金现有的优先股改为一定数量的A类股和较少数量的同类优先股,该数量将根据根据下述特别撤回权交出的股票数量确定(例如,假设A类股票合并 4:1,经理预计100股优先股将兑换成大约41股A类股票和66股优先股,其价值最初等于所交换的优先股的价值。拟变更此类股份的确切数量将于2024年6月17日公布);
    • 将基金的终止日期从2025年6月30日延长至2029年6月30日,并使基金董事能够将终止日期连续延长五年;
    • 取消A类股票每单位15.00美元的净资产价值分红门槛;
    • 向不希望继续投资本基金的A类股票和优先股持有人提供特殊的撤回权(“特别撤回权”),使这些股东能够在2024年6月28日按照基金按原计划在2025年6月30日赎回所有股票时适用的条件撤回其股份,并规定希望行使特别撤回权的股东必须通知他们希望行使特别撤回权 2024 年 6 月 14 日当天或之前的此类权利;以及
    • 创建无限数量的新股票类别,可按无限数量的系列发行,并授权基金董事确定每个此类系列所附的权利、特权和限制。

The Proposed Amendments will be beneficial for the Fund and the Shareholders for the following reasons:

拟议修正案将使基金和股东受益,原因如下:

  • Changing the Fund's investment strategy from global financials to a diversified portfolio of primarily large capitalization global equity securities should enable the Fund to better generate returns across diverse sectors of the market. Eliminating the restriction on the ability to invest in underlying funds to obtain this exposure will provide flexibility to the Manager.
  • The change of name to Premium Global Income Split Corp. will reflect the renewed focus of the Fund on global equities, while maintaining the Fund's call and put option writing strategy, which is expected to continue to enhance distribution income and lower the overall cost of acquiring portfolio securities. With the Fund's existing capital losses, the Manager expects distributions on the Shares to consist primarily of return of capital for the foreseeable future.
  • Consolidating the Class A Shares will enable the Fund's NAV per Class A Share to restart at a higher level as well as reinstate the distribution on the Class A Shares.
  • Changing each existing Preferred Share into a number of Class A Shares and a number of Preferred Shares will increase coverage levels for the Preferred Shares, provide potential for capital appreciation and increase overall yield for the holders of such shares as well as establish more appropriate leverage levels for the Class A Shares.
  • 将基金的投资战略从全球金融转向主要由大盘全球股票证券组成的多元化投资组合,应使基金能够在不同市场领域更好地产生回报。取消对投资标的基金以获得这种风险敞口的能力的限制,将为经理提供灵活性。
  • 更名为Premium Global Income Split Corp. 将反映该基金重新关注全球股票,同时维持该基金的看涨期权和看跌期权写入策略,预计该策略将继续增加分红收入并降低收购投资组合证券的总体成本。鉴于基金现有的资本损失,经理人预计,在可预见的将来,股票的分配将主要包括资本回报。
  • 合并A类股票将使该基金每股A类股票的资产净值能够在更高的水平上重启,并恢复A类股票的分配。
  • 将每股现有优先股更改为多股A类股票和一些优先股将提高优先股的覆盖水平,为资本增值提供潜力,提高此类股票持有人的总体收益率,并为A类股票建立更合适的杠杆水平。

If the Proposed Amendments are approved, the Fund will (a) make consequential amendments to its investment objectives and strategy (as described in the Circular), (b) make consequential amendments to its investment restrictions (as described in the Circular), and (c) subject to the approval of the Toronto Stock Exchange, change the ticker symbol in respect of the Class A Shares and Preferred Shares to "PGIC.A" and "PGIC.PR.A", respectively.

如果拟议修正案获得批准,基金将(a)对其投资目标和策略进行相应修改(如通函所述),(b)对其投资限制进行相应修改(如通告中所述),以及(c)在获得多伦多证券交易所批准的前提下,将A类股票和优先股的股票代码更改为 “PGIC.A” 和 “PGIC.PR.A”,分别地。

The board of directors of the Fund has unanimously approved the Proposed Amendments, and recommends that the Shareholders vote FOR the Proposed Amendments. The independent review committee of the Fund has provided a positive recommendation in favour of the Proposed Amendments.

基金董事会一致批准了拟议修正案,并建议股东投票 对于 拟议修正案。基金的独立审查委员会提出了支持拟议修正案的积极建议。

A special meeting of the Shareholders has been called and will be held virtually on June 21, 2024 with the close of business on May 13, 2024 as the record date (the "Record Date") for the Meeting. The Meeting is scheduled to be held as a virtual-only meeting conducted via live audio webcast online on June 21, 2024 at 10:00 a.m. (Eastern time). Shareholders, regardless of geographic location, will have an equal opportunity to participate in the Meeting online. Shareholders will not be able to attend the Meeting in person. Shareholders of record as of the close of business on the Record Date are entitled to receive notice of and vote at the Meeting. Shareholders are urged to vote well before the proxy deadline of 5:00 p.m. (Eastern time) on June 19, 2024.

股东特别会议已经召开,将于2024年6月21日虚拟举行,会议记录日期(“记录日期”)为2024年5月13日营业结束日期。该会议定于2024年6月21日上午10点(美国东部时间)以虚拟会议形式举行,通过在线实时音频网络直播进行。股东,无论地理位置如何,都将有平等的机会在线参加会议。股东将无法亲自出席会议。截至记录日营业结束时的登记股东有权收到会议通知并在会议上投票。敦促股东在2024年6月19日下午 5:00(美国东部时间)的代理截止日期之前进行投票。

In order for the Proposed Amendments to become effective, the Proposed Amendments must be approved by a two-thirds majority of votes cast at the Meeting by holders of the Class A Shares and the Preferred Shares, each voting separately as a class.

为了使拟议修正案生效,拟议修正案必须获得A类股票和优先股持有人在会议上投的三分之二多数票的批准,两者作为一个类别分别投票。

The Circular is being mailed to Shareholders in compliance with applicable laws, and will be available under the Fund's profile on SEDAR+ at . The Circular provides important information on the Proposed Amendments and related matters, including the voting procedures and how to virtually attend the Meeting. Shareholders are urged to read the Circular and its schedules carefully and in their entirety.

该通告将根据适用法律邮寄给股东,并将在SEDAR+的基金简介下公布,网址为。该通告提供了有关拟议修正案和相关事项的重要信息,包括表决程序以及如何虚拟出席会议。敦促股东仔细完整地阅读该通告及其时间表。

For further information, please contact Investor Relations at 416.681.3966, toll free at 1-800-725-7172 or visit .

欲了解更多信息,请致电 416.681.3966 联系投资者关系部,免费拨打 1-800-725-7172 或访问 。

John Germain, Senior Vice-President & CFO Mulvihill Capital Management Inc.
121 King Street West Suite 2600
Toronto, Ontario, M5H 3T9 416.681.3966;
1.800.725.7172
info@mulvihill.com
约翰·杰曼,高级副总裁兼首席财务官 Mulvihill 资本管理公司
国王街西121号套房 2600
安大略省多伦多市,M5H 3T9 416.681.3966;
1.800.725.7172
info@mulvihill.com

You will usually pay brokerage fees to your dealer if you purchase or sell shares of the Fund on the TSX. If the shares are purchased or sold on the TSX, investors may pay more than the current net asset value when buying and may receive less than current net asset value when selling them. There are ongoing fees and expenses associated with owning shares of the Fund. An investment fund must prepare disclosure documents that contain key information about the Fund. You can find more detailed information about the Fund in these documents. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

平时 支付 经纪业务 费用 您的 经销商 如果 购买 要么 股份 基金 TSX。 如果股票 已购买或 多伦多证券交易所,投资者 可能支付比目前更多的费用 买入时的净资产价值,出售时获得的资产净值可能低于当前的净资产价值。持有该基金股份会有持续的费用和开支。投资基金必须准备包含有关该基金的关键信息的披露文件。您可以在这些文件中找到有关该基金的更多详细信息。投资基金没有保障,其价值经常变化,过去的表现可能不会重演。


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