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Abrdn U.S. Closed-End Funds Announce Distribution Payment Details

Abrdn U.S. Closed-End Funds Announce Distribution Payment Details

Abrdn 美國封閉式基金公佈分銷付款細節
Accesswire ·  2023/12/11 13:17

PHILADELPHIA, PA / ACCESSWIRE / December 11, 2023 / The following abrdn U.S. Closed-End Funds (NYSE:ACP, AGD, AOD, ASGI, AWP and NYSE American:AEF, FAX, FCO, THQ, THW, VFL), announced today that the closed end funds in the chart directly below will pay the distributions indicated on a per share basis on January 10, 2024 to all shareholders of record as of December 29, 2023 (ex-dividend date December 28, 2023).

PHILADELPHIA, PA / ACCESSWIRE / 2023年12月11日 / 以下abrdn美國封閉式基金(NYSE:ACP,AGD,AOD,ASGI,AWP和NYSE American:AEF,FAX,FCO,THQ,THW,VFL)今日宣佈,下表直接列出的封閉式基金將於2024年1月10日按每股比例向所有截至2023年12月29日持股記錄的股東支付上述分配(除息日2023年12月28日)。

Ticker

Exchange

Fund

Amount

ACP NYSE abrdn Income Credit Strategies Fund $ 0.1000
AEF NYSE American abrdn Emerging Markets Equity Income Fund, Inc. $ 0.0900
AGD NYSE abrdn Global Dynamic Dividend Fund $ 0.0650
AOD NYSE abrdn Total Dynamic Dividend Fund $ 0.0575
ASGI NYSE abrdn Global Infrastructure Income Fund $ 0.1200
AWP NYSE abrdn Global Premier Properties Fund $ 0.0400
FAX NYSE American Abrdn Asia-Pacific Income Fund, Inc. $ 0.0275
FCO NYSE American abrdn Global Income Fund, Inc. $ 0.0700
THQ NYSE American abrdn Healthcare Opportunities Fund $ 0.1125
THW NYSE American abrdn World Healthcare Fund $ 0.1167
VFL NYSE American abrdn National Municipal Income Fund $ 0.0325

逐筆明細

交易所

基金

數量

ACP NYSE abrdn收入信用策略基金 $ 0.1000
AEF 紐交所美國 abrdn新興市場股息收益基金,Inc。 $ 0.0900
AGD NYSE abrdn全球動態股息基金 $ 0.0650
AOD NYSE abrdn總動態股息基金 $ 0.0575
ASGI NYSE abrdn全球基礎設施收益基金 $ 0.1200
AWP NYSE abrdn全球總理物業基金 $ 0.0400
FAX 紐交所美國 Abrdn亞太收益基金,Inc。 $ 0.0275
FCO 紐交所美國 abrdn全球收入基金公司。 $ 0.0700
THQ 紐交所美國 abrdn醫療保健機會基金 $ 0.1125
THW 紐交所美國 abrdn世界醫療保健基金 0.1167美元
VFL 紐交所美國 abrdn國家市政收入基金 $ 0.0325

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,將向股東發送1099-DIV表格,表明每隻基金的分配金額和組成,並提供有關其適當納稅處理的信息,適用於上一年的日曆年度。您不應根據分配金額得出任何有關這些基金投資表現的結論。

MANAGED DISTRIBUTION POLICY FUNDS

託管分配政策基金

ANNOUNCE DISTRIBUTION PAYMENT DETAILS

宣佈分配付款詳情

abrdn Global Infrastructure Income Fund ("ASGI")

abrdn全球基礎設施收入基金("ASGI")

abrdn Healthcare Opportunities Fund ("THQ")

abrdn醫療保健機會基金("THQ")

abrdn World Healthcare Fund ("THW")

abrdn世界醫療基金("THW")

The above-noted abrdn U.S. Closed-End Funds (the "Funds" or individually the "Fund"), today announced that the Funds will pay the distributions noted in the chart above on January 10, 2024, on a per share basis to all shareholders of record as of December 29, 2023 (ex-dividend date December 28, 2023).

上述abrdn美國封閉式基金(“基金”或單個“基金”)今日宣佈,基金將於2024年1月10日向所有截至2023年12月29日持股記錄的股東按每股比例支付上述分配(除息日2023年12月28日)。

Each Fund has adopted a distribution policy to provide investors with a stable distribution out of current income, supplemented by realized capital gains and, to the extent necessary, paid-in capital in reliance on an exemptive order granted by the Securities and Exchange Commission.

每個基金都採用了分配政策,以從當前收入中提供穩定的分配,再輔以實現的資本利得以及在證券交易委員會授予的豁免命令的依據下,如有必要,通過實收資本提供。

Under applicable U.S. tax rules, the amount and character of distributable income for each Fund's fiscal year can be finally determined only as of the end of the Fund's fiscal year. However, under Section 19 of the Investment Company Act of 1940, as amended (the "1940 Act") and related rules, the Funds may be required to indicate to shareholders the estimated source of certain distributions to shareholders.

根據適用的美國稅法規定,每個基金財年應分配的收入的金額和性質只能在基金財年結束時最終確定。但是,根據1940年修改後的《投資公司法》第19條以及相關規定,基金可能需要向股東表明某些分配的預估來源。

The following tables set forth the estimated amounts of the sources of the distributions for purposes of Section 19 of the 1940 Act and the rules adopted thereunder. The tables have been computed based on generally accepted accounting principles. The tables include estimated amounts and percentages for the current distributions to be paid as well as for the cumulative distributions paid relating to fiscal year to date, from the following sources: net investment income; net realized short-term capital gains; net realized long-term capital gains; and return of capital. The estimated compositions of the distributions may vary because the estimated composition may be impacted by future income, expenses and realized gains and losses on securities and currencies.

下表列出了用於第1940號法案第19條和制定的規則的分配來源的估計金額。表格已根據普遍公認的會計原則計算。表格包括當前分配的估計金額和百分比,以及累計分配的金額,從以下來源計算:淨投資收益;淨實現短期資本利得;淨實現長期資本利得;和資本的回報。分配的估計組成可能會發生變化,因爲未來的收入、支出以及證券和貨幣的實現收益和損失可能會影響估計的組成。

The Funds' estimated sources of the current distributions to be paid and for its current fiscal year to date are as follows:

基金的當前分配估計來源以及截至當前財年的來源如下:

Estimated Amounts of Current Distribution per Share

Fund

Distribution Amount

Net Investment Income

Net Realized Short-Term Gains*

Net Realized Long-Term Gains

Return of Capital

ASGI

$0.1200

-

-

-

-

$0.1200

100%

-

-

THQ

$0.1125

-

-

-

-

$0.0338

30%

$0.0787

70%

THW

$0.1167

-

-

-

-

-

-

$0.1167

100%

每股當前分配估計金額

基金

分配金額

淨投資收益

淨實現短期利得*

淨實現長期收益

資本返還

ASGI

$0.1200

-

-

-

-

$0.1200

100%

-

-

THQ

$0.1125

-

-

-

-

$0.0338

30%

$0.0787

70%

THW

0.1167美元

-

-

-

-

-

-

0.1167美元

100%

Estimated Amounts of Fiscal Year to Date Cumulative Distributions per Share

Fund

Fiscal Year** to Date Distribution Amount

Net Investment Income

Net Realized Short-Term Gains*

Net Realized Long-Term Gains

Return of Capital

ASGI

$0.3600

-

-

-

-

$0.3600

100%

-

-

THQ

$0.3375

-

-

-

-

$0.1013

30%

$0.2362

70%

THW

$0.3501

-

-

-

-

-

-

$0.3501

100%

截至本財年末每股累計分配預計金額

基金

本財年開始至今分配金額

淨投資收益

淨實現短期利得*

淨實現長期收益

資本返還

ASGI

$0.3600

-

-

-

-

$0.3600

100%

-

-

THQ

$0.3375

-

-

-

-

$0.1013

30%

$0.2362

70%

THW

$0.3501

-

-

-

-

-

-

$0.3501

100%

* includes currency gains

* 包含貨幣收益

** ASGI, THQ and THW have a 9/30 fiscal year end.

** ASGI、THQ和THW的財政年度截止日期爲9/30。

Where the estimated amounts above show a portion of the distribution to be a "Return of Capital," it means that Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur for example, when some or all the money that you invested in a Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund's investment performance and should not be confused with "yield" or "income."

如果上述預估金額顯示一部分分配是“本金回收”,這意味着基金估計已分配超過其收入和資本收益;因此,您的分配的一部分可能是本金回收。例如,當您投資基金的全部或部分資金退回時,可能會出現本金回收。本金回收分配未必反映基金的投資表現,不應與“收益”或“收入”混淆。

The amounts and sources of distributions reported in this notice are only estimates and are not being provided for tax reporting purposes. The final determination of the source of all distributions for the current year will only be made after year-end. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of the fiscal year and may be subject to change based on tax regulations. After the end of each calendar year, a Form 1099-DIV will be sent to shareholders for the prior calendar year that will tell you how to report these distributions for federal income tax purposes.

本通知中所報告的分配金額和來源僅爲估計值,不用於稅務申報目的。關於本年度所有分配的來源的最終確定,僅在年底之後才會做出。用於報稅申報目的的實際分配金額和來源將取決於基金在財政年度剩餘時間內的投資經驗,並可能根據稅法規定而進行更改。在每個日曆年結束後,將向股東發送一份1099-DIV表格,該表格告知您如何報告有關前一日曆年度的這些分配的聯邦所得稅目的。

The following table provides the Funds' total return performance based on net asset value (NAV) over various time periods compared to the Funds' annualized and cumulative distribution rates.

以下表格列出了基金根據淨資產價值(NAV)在不同時間段內的總回報表現,與基金的年化和累計分配率相比。

Fund Performance and Distribution Rate Information

Fund

Average Annual Total Return on NAV for the 5 Year Period Ending 11/30/20231

Current Fiscal Period's Annualized Distribution Rate on NAV2

Cumulative Total Return on NAV1

Cumulative Distribution Rate on NAV2

ASGI3

7.49%3

7.14%

7.04%

1.19%

THQ

7.00%

6.64%

2.42%

1.11%

THW

5.71%

12.14%

0.49%

2.02%

基金表現和分配率信息

基金

截至2023年11月30日的5年期淨資產價值平均年回報率31

當前財政年度的淨資產淨值的年化分配率2

淨資產累計回報率1

淨資產分配率2

ASGI3

7.49%3

7.14%

7.04%

1.19%

THQ

7.00%

6.64%

2.42%

1.11%

THW

5.71%

12.14%

0.49%

2.02%

1 Return data is net of all fund expenses and fees and assumes the reinvestment of all distributions reinvested at prices obtained under the Fund's dividend reinvestment plan.

1回報數據淨所有基金費用和費用,假設所有分配按基金的股息再投資計劃所獲得的價格再投資。

2 Based on the Fund's NAV as of November 30, 2023.

2 基於2023年11月30日基金的淨資產價值。

3 The Fund launched within the past 5 years; the performance and distribution rate information presented reflects data from inception (July 29, 2020) through November 30, 2023.

我們的董事會認爲,我們的薪酬政策和實踐是合理的,並適當地將我們的員工利益與股東的利益相一致。董事會認爲,對於我們的高管和其他員工的激勵性薪酬與收益掛鉤的事實鼓勵採取有利於公司短期和長期盈利的行動。此外,薪酬委員會審查有關我們的薪酬政策和實踐的變化,以確保此類政策和實踐不會鼓勵我們的高管和其他員工採取可能導致公司出現重大不利影響的行動。該基金成立不到5年; 提出的績效和發行率信息反映了從成立(2020年7月29日)到2023年11月30日的數據。

Shareholders should not draw any conclusions about a Fund's investment performance from the amount of the Fund's current distributions or from the terms of the distribution policy (the "Distribution Policy").

股東不應僅從基金當前分配金額或分配政策(“分配政策”)的條款中得出基金投資業績的任何結論。

While NAV performance may be indicative of the Fund's investment performance, it does not measure the value of a shareholder's investment in the Fund. The value of a shareholder's investment in the Fund is determined by the Fund's market price, which is based on the supply and demand for the Fund's shares in the open market.

雖然淨資產表現可以顯示基金的投資業績,但它並不能衡量股東投資基金的價值。股東在基金中的投資價值取決於基金市場價格,該價格基於市場對基金股票的供求情況而定。

Pursuant to an exemptive order granted by the Securities and Exchange Commission, the Funds may distribute any long-term capital gains more frequently than the limits provided in Section 19(b) under the 1940 Act and Rule 19b-1 thereunder. Therefore, distributions paid by the Funds during the year may include net income, short-term capital gains, long-term capital gains and/or a return of capital. Net income dividends and short-term capital gain dividends, while generally taxable at ordinary income rates, may be eligible, to the extent of qualified dividend income earned by the Funds, to be taxed at a lower rate not to exceed the maximum rate applicable to your long-term capital gains. Distributions made in any calendar year in excess of investment company taxable income and net capital gain are treated as taxable ordinary dividends to the extent of undistributed earnings and profits, and then as a return of capital that reduces the adjusted basis in the shares held. To the extent return of capital distributions exceed the adjusted basis in the shares held, capital gain is recognized with a holding period based on the period the shares have been held at the date such amount is received.

根據美國證券交易委員會授予的豁免令,基金可以比1940年法案第19(b)條和該條例下的19b-1規定的限制更頻繁地分配任何長期資本收益。因此,基金在當年支付的分配可能包括淨收入、短期資本收益、長期資本收益和/或資本回報。雖然淨收入股息和短期資本收益股息通常按普通收入稅率計稅,但在基金賺取的合格股息收入範圍內,可以按低於長期資本收益的最高適用稅率徵稅。在任何日曆年度超過投資公司可徵稅收入和淨資本利得的分配被視爲可抵禦的普通股份股息,直到未分配收益和利潤的程度,然後作爲減少持有份額的調整基礎的資本回報。如果回收資本分配超過持有股份的調整基礎,則確認資本收益,並根據持股日期計算持有期。

The payment of distributions in accordance with the Distribution Policy may result in a decrease in the Fund's net assets. A decrease in the Fund's net assets may cause an increase in the Fund's annual operating expense ratio and a decrease in the Fund's market price per share to the extent the market price correlates closely to the Fund's net asset value per share. The Distribution Policy may also negatively affect the Fund's investment activities to the extent that the Fund is required to hold larger cash positions than it typically would hold or to the extent that the Fund must liquidate securities that it would not have sold, for the purpose of paying the distribution. Each Fund's Board has the right to amend, suspend or terminate the Distribution Policy at any time. The amendment, suspension or termination of the Distribution Policy may affect the Fund's market price per share. Investors should consult their tax advisor regarding federal, state, and local tax considerations that may be applicable in their particular circumstances.

按照分配政策支付分配款項可能導致基金淨資產減少。基金淨資產減少可能導致基金年度運營費用比率增加,並且可能導致基金每股市場價格降低,前提是市場價格與基金淨資產價值每股密切相關。分配政策也可能對基金的投資活動產生負面影響,前提是基金必須持有比通常持有更大的現金頭寸,或者必須出售一些本不打算出售的證券以支付分配款項。每個基金的董事會都有權隨時修訂、暫停或終止分配政策。分配政策的修訂、暫停或終止可能會影響基金的市場價格。投資者應就可能適用於其具體情況的聯邦、州和地方稅收考慮向其稅務顧問諮詢。

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.

圓形230披露爲確保遵守美國財政部的要求,我們通知您,本通信中包含的任何美國稅務建議(包括任何附件)均不旨在或不編輯用於(i)避免根據《內部收入法典》的懲罰或(ii)向另一方推銷、營銷或推薦涉及本文件所涉事項的任何交易或事項。

In the United States, abrdn is the marketing name for the following affiliated, registered investment advisers: abrdn Inc., abrdn Investments Limited, abrdn Asia Limited, abrdn Private Equity (Europe) Limited, and abrdn ETFs Advisors LLC.

在美國,abrdn是以下附屬註冊投資顧問的市場名稱:abrdn Inc.、abrdn Investments Limited、abrdn Asia Limited、abrdn Private Equity (Europe) Limited和abrdn ETFs Advisors LLC。

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.

封閉式基金通過一家股票交易所在二級市場交易。基金的投資回報和本金價值將波動,因此投資者的股份可能比原始成本價值高或低。封閉式基金的股份可能高於(溢價)或低於(折價)基金組合的淨資產價值(NAV)。基金將達到其投資目標不能保證。過去的業績不代表未來的結果。

###

###

For More Information Contact:

欲知詳情,請聯繫:

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

abrdn美國封閉式基金
投資者關係
1-800-522-5465
Investor.Relations@abrdn.com

SOURCE: abrdn U.S. Closed-End Funds

來源:abrdn美國封閉式基金


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