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PRINCIPAL REAL ESTATE INCOME FUND CONTINUES SHARE REPURCHASE PROGRAM

PRINCIPAL REAL ESTATE INCOME FUND CONTINUES SHARE REPURCHASE PROGRAM

PRINCIPAL REAL ESTATE INCOME FUND 繼續分享回購計劃
PR Newswire ·  12/19 05:43

DENVER, Dec. 18, 2024 /PRNewswire/ - The Board of Trustees (the "Board") of Principal Real Estate Income Fund (the "Fund"), announced today that it has approved a renewal of the Fund's share repurchase program. Under the share repurchase program, the Fund may purchase up to approximately 2.1% of its outstanding common shares beginning January 21, 2025, in the open market, until January 21, 2026. As part of its evaluation of options to enhance shareholder value, the Board has authorized ALPS Advisors, Inc. (the "Advisor") to repurchase the Fund's common shares at such times and in such amounts as the Advisor reasonably believes may enhance shareholder value.

丹佛,2024年12月18日 /PRNewswire/ - Principal Real Estate Income Fund("基金")的董事會("董事會")今天宣佈,已批准基金的股票回購計劃。根據股票回購計劃,基金可以在2025年1月21日至2026年1月21日的公開市場上購買最多約2.1%的流通普通股。作爲提升股東價值的選項評估的一部分,董事會授權ALPS Advisors, Inc.("顧問")在顧問合理認爲可能提升股東價值的情況下,回購基金的普通股。

The Board and the Advisor continually analyze options to enhance shareholder value and potentially reduce the discount between the market price of the Fund's common share and the net asset value per share ("NAV"). The Board and the Advisor believe that the share repurchase program may further these goals because the program allows the Fund to acquire its shares in the open market at a discount to NAV, which will increase the NAV and thereby benefit remaining shareholders while potentially providing additional liquidity in the trading of the fund shares. The Board will monitor the repurchase program and will continue to consider strategic options to enhance shareholder value in the long-term.

董事會和顧問不斷分析增強股東價值的選項,並可能減少基金普通股的市場價格與每股淨資產值("NAV")之間的折扣。董事會和顧問相信,股票回購計劃可能進一步實現這些目標,因爲該計劃允許基金以低於NAV的價格在公開市場上收購其股票,這將增加NAV,從而使剩餘股東受益,同時可能爲基金股票的交易提供額外流動性。董事會將監測回購計劃,並將繼續考慮增強股東價值的戰略選擇,以確保長期利益。

The Fund's repurchase program will be implemented on a discretionary basis under the direction of the Advisor. There is no assurance that the Fund will purchase shares at any specific discount level or in any specific amount or that the market price of the Fund's shares will increase as a result of any share repurchases.

基金的回購計劃將在顧問的指導下以自由裁量的方式實施。無法保證基金將在任何特定折扣水平或以任何特定金額購買股份,也無法保證基金的股票市場價格因回購而上升。

RISKS

風險

An investment in the Fund is not appropriate for all investors and is not intended to be a complete investment program. The Fund is designed as a long-term investment and not as a trading vehicle.

對該基金的投資並不適合所有投資者,也不打算作爲完整的投資計劃。該基金設計爲長期投資,而不是交易工具。

Investing in the Fund involves risks, including the risk that you may receive little or no return on your investment or that you may lose part or even all of your investment and exposure to below-investment grade investments (i.e., "junk bonds"). The Fund's net asset value will vary and its distribution rate may vary and both may be affected by numerous factors, including changes in the market spread over a specified benchmark, market interest rates and performance of the broader equity markets. Fluctuations in net asset value may be magnified as a result of the Fund's use of leverage. Therefore, before investing you should carefully consider the risks that you assume when you invest in the Fund's common shares.

投資該基金涉及風險,包括您可能獲得少量或沒有投資回報的風險,或您可能損失部分甚至全部投資,以及對低投資級別投資(即"垃圾債券")的風險。基金的淨資產值將會波動,其分配率可能會變動,並且這兩者可能會受到多個因素的影響,包括市場與特定基準的利差變化、市場利率和廣泛股市的表現。由於基金使用槓桿,淨資產值的波動可能會加大。因此,在投資之前,您應仔細考慮在投資於基金的普通股時所承擔的風險。

Securities backed by commercial real estate assets are subject to market risks similar to those of direct ownership of commercial real estate assets including, but not limited to, declines in the value of real estate, declines in rental or occupancy rates and risks related to general and local economic conditions.

由商業房地產資產支持的證券面臨與直接擁有商業房地產資產相似的市場風險,包括但不限於房地產價值下降、租金或入住率下降以及與一般和地方經濟狀況相關的風險。

The Fund's investment objectives and policies are not designed to seek to return the initial investment to investors that purchase shares.

該基金的投資目標和政策並不旨在向購買股票的投資者返還初始投資。

An investor should consider investment objectives, risks, charges and expenses carefully before investing. To obtain an annual report or semi-annual report which contains this and other information visit or call 855.838.9485. Please read them carefully before investing.

投資者在投資前應仔細考慮投資目標、風險、費用和支出。如需獲取包含此信息及其他信息的年度報告或半年度報告,請訪問 或致電855.838.9485。在投資前請仔細閱讀這些信息。

Shares of closed-end investment companies frequently trade at a discount from their net asset value and initial offering prices.

封閉式投資公司的股份通常以低於其淨資產價值和初始發行價格的折扣交易。

NOT FDIC INSURED | May Lose Value | No Bank Guarantee

不受FDIC保障 | 可能會失去價值 | 沒有銀行保證

The Fund is a closed-end fund and does not continuously issue shares for sale as open-end mutual funds do. Since the initial public offering, the Fund now trades in the secondary market. Investors wishing to buy or sell shares need to place orders through an intermediary or broker. The share price of a closed-end fund is based on the market's value.

該基金是一個封閉式基金,並不像開放式共同基金那樣持續發行股份進行銷售。自首次公開募股以來,基金現在在二級市場上交易。希望買入或賣出股份的投資者需要通過中介或經紀人進行下單。封閉式基金的股價是基於市場價值的。

ALPS Advisors, Inc. is the investment adviser to the Fund.

ALPS Advisors, Inc. 是該基金的投資顧問。

Principal Real Estate Investors LLC is the investment sub-adviser to the Fund. Principal Real Estate Investors LLC is not affiliated with ALPS Advisors, Inc. or any of its affiliates.

Principal Real Estate Investors LLC 是該基金的投資子顧問。Principal Real Estate Investors LLC 與 ALPS Advisors, Inc. 或其任何附屬公司沒有關聯。

ALPS Portfolio Solutions Distributor, Inc. is the FINRA Member firm.

ALPS Portfolio Solutions Distributor, Inc. 是 FINRA 會員公司。

About SS&C Technologies

關於SS&C Technologies

SS&C is a global provider of services and software for the financial services and healthcare industries. Founded in 1986, SS&C is headquartered in Windsor, Connecticut, and has offices around the world. Some 20,000 financial services and healthcare organizations, from the world's largest companies to small and mid-market firms, rely on SS&C for expertise, scale, and technology. Additional information about SS&C (Nasdaq: SSNC) is available at .

SS&C 是金融服務和醫療行業服務及軟件的全球提供商。成立於1986年,SS&C 總部位於康涅狄格州溫莎,在全球設有辦事處。大約20,000家金融服務和醫療組織,從全球最大的公司到小型和中型企業,都依賴於SS&C的專業知識、規模和科技。有關SS&C(納斯達克:SSNC)的更多信息,請訪問。

About SS&C ALPS Advisors

關於SS&C ALPS Advisors

SS&C ALPS Advisors, a wholly-owned subsidiary of SS&C Technologies, is a leading provider of investment products for advisors and institutions. With over $26.24 billion under management as of September 30, 2024, SS&C ALPS Advisors is an open architecture boutique investment manager offering portfolio building blocks, active insight and an unwavering drive to guide clients to investment outcomes across sustainable income, thematic and alternative growth strategies. For more information, visit .

SS&C ALPS Advisors 是 SS&C Technologies 的全資子公司,是爲顧問和機構提供投資產品的領先供應商。截至2024年9月30日,管理資產超過262.4億美金,SS&C ALPS Advisors 是一家開放架構的精品投資管理公司,提供投資組合構建模塊、主動洞察以及不懈努力指導客戶實現可持續收益、主題和替代增長策略的投資成果。欲了解更多信息,請訪問。 .

About SS&C Technologies

關於SS&C Technologies

Principal Real Estate Investors manages or sub-advises $102 billion in commercial real estate assets, as of September 30, 2024. The firm's real estate capabilities include both public and private equity and debt investment alternatives. Principal Real Estate Investors is the dedicated real estate group of Principal Global Investors, a diversified asset management organization and a member of the Principal Financial Group.

Principal Real Estate Investors管理或擔任顧問的商業房地產資產高達1020億,截止到2024年9月30日。該公司的房地產能力包括公共和私募股權及債務投資選擇。Principal Real Estate Investors是Principal Global Investors旗下專注於房地產的團隊,Principal Global Investors是一家多元化的資產管理機構,並且是Principal Financial Group的成員。

PRE000436 12/18/2025

PRE000436 12/18/2025

SOURCE Principal Real Estate Income Fund

來源:Principal Real Estate Income Fund

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