share_log

Abrdn Global Dynamic Dividend Fund (AGD) and Abrdn Total Dynamic Dividend Fund (AOD) Announce 70% Increase in Distribution Rate and Adoption of a 12% Managed Distribution Policy

Abrdn Global Dynamic Dividend Fund (AGD) and Abrdn Total Dynamic Dividend Fund (AOD) Announce 70% Increase in Distribution Rate and Adoption of a 12% Managed Distribution Policy

全球货币动态股息基金(AGD)和全球货币总体动态股息基金(AOD)宣布分配率增加70%,采用12%的经营管理规定。
Accesswire ·  08/08 17:35

PHILADELPHIA, PA / ACCESSWIRE / August 8, 2024 / abrdn Global Dynamic Dividend Fund (NYSE:AGD) and abrdn Total Dynamic Dividend Fund (NYSE:AOD) (collectively, the "Funds") each, a closed-end management investment company, announced today its Board of Trustees (each a "Board" and collectively, the "Boards") have each approved the implementation of a managed distribution policy which will pay monthly, 12% of the average daily NAV for the previous month as of the month-end prior to declaration ("Managed Distribution Policy"). The new Managed Distribution Policy will commence with the distributions payable on August 30, 2024, to all shareholders of record as of August 23, 2024 (ex-dividend date August 23, 2024).

全球货币动态股息基金(NYSE:AGD)和全球货币总股息基金(NYSE:AOD)(collectively, the "Funds"),两者均为封闭式管理投资公司。今日各自董事会(分别为“董事会”及“董事会”)已审批实行管理分配政策,按前一个月的平均每日资产净值计算,每月支付上一月平均每日资产净值的12%(“管理分配政策”)。新的管理分配政策将从2024年8月30日开始支付分配,支付给2024年8月23日的所有股东(除息日为2024年8月23日)。

Based on each Fund's respective distribution rate announced below, shareholders of AGD will see an approximate 70% increase and AOD shareholders an approximate 74% increase in the monthly distribution rate for August.

根据每个基金公布以下的每股分配率,AGD的股东将看到约70%的增长和AOD的股东将看到约74%的增长。

Ticker

Exchange

Previous Stable
Distribution Policy

New Managed
Distribution Policy

Declared Distribution Amount

AGD

NYSE

Stable monthly distribution of $0.065

12% percent of the average daily NAV for the previous month as of the month-end prior to declaration

$0.11

AOD

NYSE

Stable monthly distribution of $0.0575

12% percent of the average daily NAV for the previous month as of the month-end prior to declaration

$0.10

逐笔明细

交易所

之前稳定
分配政策

新的管理
分配政策

声明的分配金额

AGD

NYSE

稳定的每月分配为$0.065

按前一个月的平均每日资产净值计算,每月支付上一月平均每日资产净值的12%

$0.11

AOD

NYSE

稳定的每月分配为$0.0575

按前一个月的平均每日资产净值计算,每月支付上一月平均每日资产净值的12%

$0.10

The Funds each distribute monthly all or a portion of its net investment income, including current gains, to common shareholders. The distributions for each Fund will be made from net investment income, net realized capital gains and, to any extent necessary, return of capital.

这些基金每月分配其所有或部分的净投资收入,包括当前收益,可作为普通股股东 DISTRIBUTION。每个基金的分配将来自净投资收入,净实现资本增值收益,必要时也由资本回报为来源。

abrdn Global Dynamic Dividend Fund (AGD) - 73% Increase

全球货币动态股息基金(AGD)- 73% 增长

AGD pays a stable distribution that is paid monthly at an annual rate, set once a year. On August 7, 2024, the Board of AGD, approved the new Managed Distribution Policy, commencing with the August 2024 distribution.

AGD支付年度一次设定的稳定分配金额,该分配金额每月支付一次。2024年8月7日,AGD董事会批准了新的管理分配政策,该政策将从2024年8月分配开始实施。

Based on the NAV as of July 31, 2024, of $11.39 this would equate to an increased distribution on NAV from $0.065cps to $0.11cps or an increased annualized NAV distribution rate from 6.8% to 12%, an increase of approximately 76%. Based on the share price as of July 31, 2024, of $10.01 this would equate to an increased annualized share price distribution rate from 7.8% to 13.7%. The NAV however will fluctuate with changes in market conditions which will impact the payment of the monthly distributions.

基于2024年7月31日的资产净值为$11.39,每股分配由$0.065增加至$0.11,将产生约76%的年化每股净资产分配率增长,从6.8%增加至12%。基于股价为$10.01,将产生年化每股股价分配率从7.8%增加至13.7%。但是,净资产价值将随市场条件的变化而波动,这将影响到分配的支付。

abrdn Total Dynamic Dividend Fund (AOD) - 70% Increase

全球货币总股息基金(AOD)- 70% 增长

AOD pays a stable distribution that is paid monthly at an annual rate, set once a year. On August 7, 2024, the Board of AOD, approved the new Managed Distribution Policy, commencing with the August 2024 distribution.

AOD支付年度一次设定的稳定分配金额,该分配金额每月支付一次。2024年8月7日,AOD董事会批准了新的管理分配政策,该政策将从2024年8月分配开始实施。

Based on the NAV as of July 31, 2024, of $9.86 this would equate to an increased distribution on NAV from $0.0575cps to $0.10cps or an increased annualized NAV distribution rate from 7.0% to 12%, an increase of approximately 71%. Based on the share price as of July 31, 2024, of $8.58 this would equate to an increased annualized share price distribution rate from 8.0% to 13.8%. The NAV however will fluctuate with changes in market conditions which will impact the payment of the monthly distributions.

基于2024年7月31日的资产净值为$9.86,每股分配由$0.0575增加至$0.10,将产生约71%的年化每股净资产分配率增长,从7.0%增加至12%。基于股价为$8.58,将产生年化每股股价分配率从8.0%增加至13.8%。但是,净资产价值将随市场条件的变化而波动,这将影响到分配的支付。

Each Fund's policy is expected to provide a steady and sustainable cash distribution to Fund shareholders that may help reduce the Fund's current discount to NAV. There is no assurance that a Fund will achieve these results. Shareholders should not draw any conclusions about each Fund's investment performance from the amount of the distributions or the terms of the Fund's policy.

每个基金的政策预计将向基金股东提供稳定持续的现金分配,有助于降低基金对净资产价值的贴现。不能保证基金将实现这些结果。股东不应从分配金额或基金政策的条款中得出任何关于基金投资业绩的结论。

At the end of each calendar year, a Form 1099-DIV will be sent to shareholders, which will state the amount and composition of each fund's distributions and provide information with respect to their appropriate tax treatment for the prior calendar year. You should not draw any conclusions about any of these Funds' investment performance from the amount of the distributions.

每年年底,将向股东发送1099-DIV表格,表明每只基金的分配金额和组成,并提供有关其适当纳税处理的信息,适用于上一年的日历年度。您不应根据分配金额得出任何有关这些基金投资表现的结论。

Circular 230 disclosure: To ensure compliance with requirements imposed by the U.S. Treasury, we inform you that any U.S. tax advice contained in this communication (including any attachments) is not intended or written to be used, and cannot be used, for the purpose of (i) avoiding penalties under the Internal Revenue Code or (ii) promoting, marketing or recommending to another party any transaction or matter addressed herein.

圆形230披露为确保遵守美国财政部的要求,我们通知您,本通信中包含的任何美国税务建议(包括任何附件)均不旨在或不编辑用于(i)避免根据《内部收入法典》的惩罚或(ii)向另一方推销、营销或推荐涉及本文件所涉事项的任何交易或事项。

In the United States, abrdn is the marketing name for the following affiliated, registered investment advisers: abrdn Inc., abrdn Investments Limited, and abrdn Asia Limited.

在美国,abrdn是以下附属注册投资顾问的营销名称:abrdn Inc.,abrdn Investments Limited 和 abrdn Asia Limited。

Closed-end funds are traded on the secondary market through one of the stock exchanges. A Fund'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 fund's portfolio. There is no assurance that a Fund will achieve its investment objective. Past performance does not guarantee future results.

封闭式基金通过一家股票交易所在二级市场交易。基金的投资回报和本金价值将波动,因此投资者的股份可能比原始成本价值高或低。封闭式基金的股份可能高于(溢价)或低于(折价)基金组合的净资产价值(NAV)。基金将达到其投资目标不能保证。过去的业绩不代表未来的结果。

###

###

For More Information Contact:

欲知详情,请联系:

abrdn U.S. Closed-End Funds
Investor Relations
1-800-522-5465
Investor.Relations@abrdn.com

abrdn美国封闭式基金
投资者关系
1-800-522-5465
Investor.Relations@abrdn.com

SOURCE: abrdn U.S. Closed-End Funds

来源:abrdn美国封闭式基金


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