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Abrdn National Municipal Income Fund ("VFL") Announces Additional 10% Increase in Distribution Rate and Authorization of an Open Market Share Repurchase Program

Abrdn National Municipal Income Fund ("VFL") Announces Additional 10% Increase in Distribution Rate and Authorization of an Open Market Share Repurchase Program

Abrdn国家市政收入基金(“VFL”)宣布分红率再增加10%,并授权开展股票自由买卖的市场份额回购计划
Accesswire ·  09/11 16:27

PHILADELPHIA, PA / ACCESSWIRE / September 11, 2024 / abrdn National Municipal Income Fund (NYSE American:VFL), (the "Fund"), a closed-end management investment company, announced today that it has increased its monthly distribution by 10%, from $0.045 per share to $0.05 per share, commencing with the distribution payable on September 30, 2024 to shareholders of record as of September 23, 2024 (ex-dividend date September 23, 2024).

宾夕法尼亚州费城/ACCESSWIRE/2024年9月11日/封闭式管理投资公司abrdn全国市政收益基金(纽约证券交易所美国股票代码:VFL)(以下简称 “基金”)今天宣布,其每月分配额从每股0.045美元增加至每股0.05美元,从2024年9月30日起支付给截至2024年9月23日(除息日9月23日)的登记股东 2024)。

In determining the distribution rate, the Board considered the Investment Manager's views on market outlook and conditions as well as the Manager's belief that the increased distribution is sustainable.

在确定分配率时,董事会考虑了投资经理对市场前景和状况的看法,以及经理人对增加分配是可持续的信念。

Based on the NAV as of September 10, 2024 of $12.33 this rate change increases the Fund's NAV distribution rate from 4.4% to 4.9%, an increase of approximately 10%. Based on the share price as of September 10, 2024 of $11.13 this would equate to an increased share price distribution rate increase from 4.9% to 5.4%.

根据截至2024年9月10日的资产净值12.33美元,这一利率变动使该基金的资产净值分配率从4.4%提高到4.9%,增长了约10%。根据截至2024年9月10日的11.13美元的股价,这意味着股价分配率从4.9%提高到5.4%。

The Fund's last distribution change was announced in March 2024 when the Board approved an increase of 20%. Since abrdn assumed management of the Fund on July 7, 2023, the distribution has been cumulatively increased by approximately 54%.

该基金的最后一次分配变更是在2024年3月宣布的,当时董事会批准增加20%。自abrdn于2023年7月7日接管该基金的管理以来,分配已累计增加了约54%。

The Fund seeks to provide current income exempt from regular federal income tax, consistent with the preservation of capital by investing in municipal bonds.

该基金旨在提供免征常规联邦所得税的当期收入,这与通过投资市政债券来保护资本相一致。

The Fund distributes monthly all or a portion of its net investment income, including current gains, to common shareholders.

该基金每月向普通股股东分配其全部或部分净投资收益,包括当期收益。

The 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 the Fund will achieve these results. Shareholders should not draw any conclusions about the Fund's investment performance from the amount of the distributions or the terms of the Fund's policy. The Fund's distribution policy is subject to modification by the Board of Trustees at any time, and there can be no guarantee that the policy will continue.

该政策预计将为基金股东提供稳定和可持续的现金分配,这可能有助于降低基金目前对资产净值的折扣。无法保证基金会取得这些成果。股东不应从分配金额或基金政策条款中得出有关基金投资业绩的任何结论。基金的分配政策可随时由董事会修改,无法保证该政策会继续下去。

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 the Fund's investment performance from the amount of the distributions

在每个日历年年底,将向股东发送一份1099-DIV表格,该表格将说明每只基金的分配金额和构成,并提供有关前一个日历年度的适当税收待遇的信息。您不应从分配金额中得出有关基金投资业绩的任何结论

Share Repurchase Program

股票回购计划

The Fund's Board has authorized the introduction of an open market share repurchase program. The Program allows the Fund to purchase, in the open market, its outstanding common shares, with the amount and timing of any repurchase determined at the discretion of the Fund's investment adviser. Such purchases may be made opportunistically at certain discounts to net asset value per share in the reasonable judgment of management based on historical discount levels and current market conditions. Under the terms of the Program, the Fund is permitted to repurchase up to 10% of its outstanding shares of common stock in the open market during any 12-month period as of September 30 of the prior year.

该基金董事会已授权引入公开市场股票回购计划。该计划允许基金在公开市场上购买其已发行普通股,任何回购的金额和时间由基金的投资顾问自行决定。根据管理层基于历史折扣水平和当前市场状况的合理判断,可以机会性地以每股净资产价值的某些折扣进行此类收购。根据该计划的条款,允许该基金在截至去年9月30日的任何12个月期间在公开市场上回购其已发行普通股的10%。

In approving the authorization to establish a share repurchase policy, the Board considered, among other things, the improvement such a policy is likely to have on market liquidity and the potential accretion to the per share NAV for long-term shareholders.

在批准制定股票回购政策的授权时,董事会除其他外考虑了该政策可能对市场流动性的改善以及长期股东每股资产净值的潜在增加。

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.

230号通告披露: 为确保遵守美国财政部规定的要求,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)均无意或以书面形式用于以下目的:(i) 避免《美国国税法》规定的处罚或 (ii) 宣传、营销或向他人推荐此处涉及的任何交易或事项。

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市场名称: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.

封闭式基金通过其中一个证券交易所在二级市场上交易。基金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基金投资组合的净资产价值(NAV)(溢价)或低于(折扣)。无法保证基金会实现其投资目标。过去的表现并不能保证未来的业绩。

abrdnvfl.com

abrdnvfl.com

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For More Information Contact:

欲了解更多信息,请联系:

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

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

SOURCE: abrdn National Municipal Income Fund

来源:abrdn 全国市政收入基金


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
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