Federated Hermes Achieves Shareholder Approval Related to the Federated Hermes MDT Large Cap Growth ETF
Federated Hermes Achieves Shareholder Approval Related to the Federated Hermes MDT Large Cap Growth ETF
PITTSBURGH, Aug. 23, 2024 /PRNewswire/ -- Federated Hermes, Inc. (NYSE: FHI), a global leader in active investing, today announced that the Federated Hermes ETF Trust, on behalf of its portfolio, Federated Hermes MDT Large Cap Growth ETF (NYSE: FLCG), which seeks long-term capital appreciation by investing primarily in common stocks of large capitalization (large-cap) U.S. companies with higher forecasted growth values relative to the market, has obtained approval by majority shareholder consent action to change from a diversified company to a non-diversified company.
匹兹堡,2024年8月23日/美通社/--联邦爱梅斯制券商(纽交所:FHI)是全球主动投资业务的领先者,今天宣布联邦爱梅斯etf信托公司代表其投资组合的经销商-联邦爱梅斯 mdt大盘增长etf(纽交所:FLCG),通过主要投资市值超大型(大盘)美国公司的普通股票,与市场相对预测增长价值更高,已经获得了多数股东同意将其从多元化公司变为非多元化公司的批准。
The change was approved by written consent in lieu of a shareholder meeting and no proxy or solicitation was necessary. The change will take effect on or about Sept. 16, 2024.
该变更经过书面同意,无需股东大会和任何代理人或招揽。该变更将于2024年9月16日或之前生效。
The Fund pursues its investment objective, in part, by utilizing an actively managed large cap growth approach by selecting most of its investments from companies listed in the Russell 1000 Growth Index (the "Index"), although the Fund is not designed to track the overall composition or returns of the Index. The approved change to the Fund's diversification classification is intended to provide the Fund with greater long-term flexibility in executing its investment objective at times when the weightings of individual issuers in the Index exceed the diversification limits under the Investment Company Act of 1940. The change in diversification policy is not expected to substantially affect the Fund's pursuit of its investment objective, rather enabling the Fund's adviser to continue actively managing the Fund's investment strategy using the Fund's quantitative model.
基金通过选择大部分投资于罗素1000增长指数(“指数”)上市公司来追求其投资目标,尽管基金不旨在跟踪该指数的整体构成或回报。基金的多元化分类获得的批准变更旨在为基金在指数中的个别发行人权重超过1940年投资公司法规定的多元化限制时,提供更大的长期灵活性来执行其投资目标。多元化政策的变更预计将不会对基金追求其投资目标产生实质性影响,而是使基金的投资顾问能够继续使用基金的定量模型积极管理基金的投资策略。
Investors can view fund and portfolio information in the Products section of FederatedHermes.com/us.
投资者可以在FederatedHermes.com/us的产品部分查看基金和组合信息。
Federated Hermes, Inc. (NYSE: FHI) is a global leader in active, responsible investment management, with $782.7 billion in assets under management, as of June 30, 2024. We deliver investment solutions that help investors target a broad range of outcomes and provide equity, fixed-income, alternative/private markets, multi-asset and liquidity management strategies to more than 10,000 institutions and intermediaries worldwide. Our clients include corporations, government entities, insurance companies, foundations and endowments, banks and broker/dealers. Headquartered in Pittsburgh, Federated Hermes has more than 2,000 employees in London, New York, Boston and offices worldwide. For more information, visit FederatedHermes.com/us.
Federated Hermes,Inc.(纽交所:FHI)是全球主要的主动负责任投资管理公司,截至2024年6月30日,管理的资产总额为7827亿美元(约合人民币5.12万亿元)。我们提供投资解决方案,帮助投资者实现广泛的目标,并向全球超过10,000家机构和中介提供权益、固定收益、另类/私人市场、多资产和流动性管理策略。我们的客户包括公司、政府实体、保险公司、基金会和捐赠基金、银行和券商。总部位于匹兹堡,Federated Hermes在伦敦、纽约、波士顿和世界各地设有超过2,000名员工。有关更多信息,请访问FederatedHermes.com/us。
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Certain statements in this press release, such as those related to the effective date of the policy change, the intended purpose behind the diversification policy change, and the intended effect of the policy change on the Fund's principal investment strategies, constitute or may constitute forward-looking statements, which involve known and unknown risks, uncertainties and other factors that may cause the actual results, levels of activity, performance or achievements of the Fund to be materially different from any future results, levels of activity, performance or achievements expressed or implied by such forward-looking statements. Any forward-looking statement, and the Fund's level of business activity and financial results, are inherently subject to significant business, market, economic, competitive, regulatory and other risks and uncertainties, many of which are difficult to predict and beyond the Fund's and its investment adviser's control. Risks and uncertainties could vary significantly depending on various factors, such as market conditions, investment performance and investor behavior. Other risks and uncertainties include the risk factors discussed in the Fund's registration statement, including its prospectus and statement of additional information, as filed with the Securities and Exchange Commission. As a result, no assurance can be given as to future results, levels of activity, performance or achievements, and none of the Fund, its investment adviser, or any other person assumes responsibility for the accuracy and completeness, or updating, of such statements in the future.
本新闻稿中的某些声明,如与政策变更的生效日期、多元化政策变更背后的目的以及政策变更对基金主要投资策略的预期影响相关的声明,构成或可能构成前瞻性声明。前瞻性声明涉及已知和未知的风险、不确定性和其他因素,可能导致基金的实际结果、活动水平、绩效或成就与未来任何结果、活动水平、绩效或成就所表达或暗示的结果大为不同。任何前瞻性声明以及基金的业务活动水平和财务结果都天然受到重大商业、市场、经济、竞争、监管和其他风险和不确定性的影响,其中很多因素很难预测且超出基金及其投资顾问的控制范围。风险和不确定因素可能因市场条件、投资绩效和投资者行为等各种因素而有所不同。其他风险和不确定因素包括基金的注册声明中所讨论的风险因素,包括其招股说明书和其他附加信息声明,已向美国证券交易委员会备案。因此,对于未来的结果、活动水平、绩效或成就,不能给予任何保证,并且基金、其投资顾问或其他任何人对未来此类声明的准确性、完整性或更新性不承担责任。
For more complete information, visit FederatedHermes.com/us or contact your investment professional for summary prospectuses or prospectuses. You should consider the fund's investment objectives, risks, charges and expenses carefully before you invest. Information about these and other important subjects is in the fund's summary prospectus or prospectus, which you should read carefully before investing. Prospectuses are available by calling Federated Hermes at 1-800-341-7400 or by visiting FederatedHermes.com/us.
有关更完整的信息,请访问FederatedHermes.com/us或联系投资专业人士获取摘要说明书或认购书。在投资之前,应仔细考虑该基金的投资目标、风险、费用和开支。有关这些和其他重要事项的信息,请仔细阅读该基金的摘要说明书或认购书,在投资之前仔细阅读。摘要说明书可通过致电Federated Hermes 1-800-341-7400或访问FederatedHermes.com/us获取。
Fund shares are bought and sold on an exchange at market price (not NAV) and are not individually redeemed from the Fund. However, shares may be redeemed at NAV directly by certain authorized broker-dealers (Authorized Participants) in very large creation/redemption units. Investors purchasing and selling at market price may pay brokerage commissions which will reduce returns. Market price returns are based on the official closing price of an ETF share or, if the official closing price isn't available, the midpoint between the national best bid and national best offer ("NBBO") as of the time the ETF calculates the current NAV per share. NAVs are calculated using prices as of 4 p.m. Eastern Time.
基金份额以市场价格(而不是净资产值)在交易所上买卖,并且不会从基金中单独赎回。但是,某些授权的经纪人/经销商(授权参与者)可以通过非常大的创造/赎回单位直接以NAV赎回股份。以市场价格购买和出售的投资者可能会支付佣金,这将降低回报。市场价回报基于ETF股份的官方收盘价,或如果官方收盘价不可用,则为国家最佳出价和国家最佳要约之间的中点,即ETF计算当前每股净资产的NAV的时间。NAV使用美国东部时间下午4点的价格计算。
Federated Securities Corp., Distributor
Federated Securities Corp.,经销商
SOURCE Federated Hermes, Inc.
消息来源:Federated Hermes,Inc。