AdvisorShares Announces 1-For-20 Reverse Split Of ETF
AdvisorShares Announces 1-For-20 Reverse Split Of ETF
AdvisorShares, a pioneer in the cannabis investing space, offering global, domestic, and leveraged actively managed cannabis ETFs, has announced a reverse split of the issued and outstanding shares of the AdvisorShares MSOS Daily Leveraged ETF. The split will not change the total value of a shareholder's investment.
AdvisorShares作为大麻投资领域的先锋,提供全球、国内和杠杆主动管理的大麻etf,已宣布对AdvisorShares MSOS每日杠杆etf的已发行和流通股份进行反向拆分。此拆分将不会改变股东投资的总价值。
MSOX has a daily leveraged investment objective and is designed for experienced and sophisticated active day trading investors only. While the investment object is still designed to target two times the exposure the Fund will typically be in range above or below the two times leverage target. This ETF was built to provide more liquidity to these companies in this growing industry, but it's important for investors to remember this ETF is designed only for experienced and sophisticated active day trading investors. Please read the MSOX prospectus for all the risks associated with this ETF.
MSOX的日常杠杆投资目标仅为经验丰富和成熟的活跃日间交易投资者设计。虽然投资目标仍然旨在目标两倍的敞口,但基金通常将在目标上下区间变动。此etf旨在为这些正在增长的行业板块提供更多流动性,但投资者需要记住,此etf仅为经验丰富和成熟的活跃日间交易投资者设计。请阅读MSOX招股说明书,了解与此etf相关的所有风险。
Effective before market open on November 26, 2024, the Fund will affect a reverse split of its issued and outstanding shares as follows:
自2024年11月26日市场开盘之前,基金将按照以下方式进行其已发行和流通股份的反向拆分:
Fund Name | Reverse Split Ratio |
Approximate decrease in total number of outstanding shares |
AdvisorShares MSOS Daily Leveraged ETF |
1 for 20 | 95 % |
基金名称 | 拆股比例 | 减少的大致数量 流通股的数量 |
AdvisorShares MSOS每日杠杆 交易所交易基金 |
1比20 | 95% |
Please note the CUSIP changes, effective November 26, 2024:
请注意CUSIP更改,将于2024年11月26日生效:
Fund Name | Ticker | Current CUSIP | New CUSIP |
AdvisorShares MSOS Daily Leveraged ETF |
MSOX | 00768Y313 | 00768Y289 |
基金名称 | 逐笔明细 | 当前的CUSIP编号 | 新CUSIP |
AdvisorShares MSOS 日常 杠杆etf |
MSOX | 00768Y313 | 00768Y289 |
As a result of this reverse split, every twenty shares of the Fund will be exchanged for one share as indicated above. Accordingly, the total number of the issued and outstanding shares for the Fund will decrease by the approximate percentage indicated above. In addition, the per share net asset value (NAV) and next day's opening market price will be approximately twenty times higher for the Fund. Shares of the Fund will begin trading on the NYSE Arca on a split-adjusted basis on November 26, 2024.
由于此次反向拆分,基金的每二十股将换成一股,如上所示。因此,基金的已发行和流通股份总数将减少上述约定的百分比。此外,基金的每股净资产价值(NAV)和下一个交易日的开盘市场价格将约高出二十倍。基金股份将在2024年11月26日以拆分调整后的方式在纽交所Arca交易。
A shareholder's investment value will not be affected by the reverse split. The table below illustrates the effect of a hypothetical one-for-twenty reverse split anticipated for the Fund, as applicable and described above:
股东的投资价值不会受到反向拆分的影响。下表说明了针对基金的假设性1拆20反向拆分的影响,如适用并如上所述:
1-for-20 Reverse Split
1拆20反向拆分
Period | # of Shares Owned | Hypothetical NAV | Total Market Value |
Pre-Split | 1,000 | $10 | $10,000 |
Post-Split | 50 | $200 | $10,000 |
Period | 持有的股份数量 | 假设净资产价值 | 总市值 |
拆股前 | 1,000 | $10 | $10,000 |
拆分后 | 50 | $200 | $10,000 |
The Trust's transfer agent will notify the Depository Trust Company (DTC) of the reverse split and instruct DTC to adjust each shareholder's investment(s) accordingly. DTC is the registered owner of the Fund's shares and maintains a record of the Fund's record owners.
信托的转移代理将通知存管信托公司(DTC)反向拆分,并指示DTC相应调整每位股东的投资。DTC是基金股份的注册所有者,并维护基金记录所有者的记录。
Redemption of Fractional Shares and Tax Consequences for the Reverse Split
碎股的赎回及反向拆分的税务影响
As a result of the reverse split, a shareholder of the Fund's shares potentially could hold a fractional share. However, fractional shares cannot trade on the NYSE Arca. Thus, the Fund will redeem for cash a shareholder's fractional shares at the Fund's split-adjusted NAV as of the Effective Date. A shareholder could recognize a gain or loss in connection with the redemption of the shareholder's fractional shares.
由于反向拆分,基金股份的股东可能持有碎股。然而,碎股无法在纽交所Arca交易。因此,基金将根据生效日期的基金拆分调整后的净资产值以现金赎回股东的碎股。股东在赎回其碎股时可能会确认收益或损失。
"Odd Lot" Unit
"碎股"单位
As a result of the reverse split, the Fund may have outstanding one aggregation of less than 5,000 shares to make a creation unit, or an "odd lot unit." Thus, the Fund will provide one authorized participant with a one-time opportunity to redeem the odd lot unit after the split-adjusted NAV is struck on November 26, 2024.
由于反向拆分,基金可能会有不足5000股的聚合股以形成创设单位,或者称为“碎股单位”。因此,基金将在2024年11月26日拆分调整后的净资产值确认后,给予一个授权参与者一次性机会来赎回碎股单位。