Sprott Physical Platinum and Palladium Trust Updates Its “At-the-Market” Equity Program
Sprott Physical Platinum and Palladium Trust Updates Its “At-the-Market” Equity Program
TORONTO, Aug. 16, 2022 (GLOBE NEWSWIRE) -- Sprott Asset Management LP ("Sprott Asset Management"), a subsidiary of Sprott Inc., on behalf of the Sprott Physical Platinum and Palladium Trust (NYSE: SPPP) (TSX: SPPP / SPPP.U) (the "Trust"), a closed-ended mutual fund trust created to invest and hold substantially all of its assets in physical platinum and palladium bullion, today announced that it has updated its at-the-market equity program to issue up to US$100 million of units of the Trust ("Units") in the United States and Canada.
多伦多,2022年8月16日(Global Newswire)--Sprott Inc.的子公司Sprott Asset Management LP(以下简称Sprott Asset Management LP)今天宣布,该公司已更新其在市场上的股票计划,将在美国和加拿大发行高达1亿美元的Sprott实物铂钯信托(纽约证券交易所代码:SPPP)(多伦多证券交易所代码:SPPP/SPPP.U)(该信托是一家封闭式共同基金信托,旨在投资和持有其几乎所有的实物铂和钯金条)。
Distributions under the at-the-market equity programs in the United States and Canada (together, the "ATM Program") will be completed in accordance with the terms of an amended and restated sales agreement (the "Sales Agreement") dated October 21, 2020 between Sprott Asset Management (as the manager of the Trust), the Trust, Cantor Fitzgerald & Co. ("CF&Co"), Virtu Americas LLC ("Virtu" and together with CF&Co, the "U.S. Agents") and Virtu ITG Canada Corp., as amended on August 16, 2022 (the "Canadian Agent" and together with the U.S. Agents, the "Agents"). The Sales Agreement is available on EDGAR at the SEC's website at www.sec.gov and the SEDAR website maintained by the Canadian Securities Administrators at .
根据美国和加拿大市场股权计划(统称“ATM计划”)进行的分配将根据Sprott Asset Management(作为信托基金的管理人)、The Trust,Cantor Fitzgerald&Co.(“CF&Co”)、Virtu America LLC(“Virtu”,以及CF&Co,“U.S.Agents”)和Virtu ITG Canada Corp.之间于2020年10月21日修订的销售协议(“销售协议”)的条款完成。2022年(“加拿大代理商”,与美国代理商一起,“代理商”)。销售协议可在EDGAR的美国证券交易委员会网站www.sec.gov和由加拿大证券管理人维护的SEDAR网站上获得。
Sales of Units through the Agents, acting as agent, will be made through "at the market" issuances on the NYSE Arca ("NYSE") and the Toronto Stock Exchange ("TSX") or other existing trading markets in the United States and Canada at the market price prevailing at the time of each sale, and, as a result, sale prices may vary. Neither U.S. Agent is registered as a dealer in any Canadian jurisdiction and, accordingly, the U.S. Agents will only sell Units on marketplaces in the United States and are not permitted to and will not, directly or indirectly, advertise or solicit offers to purchase any Units in Canada. The Canadian Agent may only sell Units on marketplaces in Canada.
作为代理的代理商将通过在纽约证券交易所(“NYSE”)和多伦多证券交易所(“多伦多证券交易所”)或美国和加拿大的其他现有交易市场“按市场”发行单位,以每次销售时的市场价格进行销售,因此,销售价格可能会有所不同。这两家美国代理商都没有在加拿大的任何司法管辖区注册为经销商,因此,美国代理商将只在美国的市场上销售单位,不允许也不会直接或间接地宣传或征求在加拿大购买任何单位的报价。加拿大代理商只能在加拿大的市场上销售设备。
The volume and timing of distributions under the ATM Program, if any, will be determined in the Trust's sole discretion. The Trust intends to use the proceeds from the ATM Program, if any, to acquire physical gold bullion in accordance with the Trust's objective and subject to the Trust's investment and operating restrictions.
自动柜员机计划下的分发数量和时间(如果有的话)将由信托公司自行决定。信托基金打算根据信托基金的目标并受信托基金的投资和经营限制,使用自动柜员机计划的收益(如果有的话)购买实物金条。
The offering under the ATM Program is being made pursuant to a prospectus supplement dated August 16, 2022 (the "U.S. Prospectus Supplement") to the Trust's U.S. base prospectus (the "U.S. Base Prospectus") included in its registration statement on Form F-10 (the "Registration Statement") (File No. 333-266898) filed with the United States Securities and Exchange Commission (the "SEC") on August 15, 2022, and pursuant to a prospectus supplement dated August 16, 2022 (the "Prospectus Supplement") to the Trust's Canadian short form base shelf prospectus dated August 15, 2022 (the "Base Shelf Prospectus" and together with the Prospectus Supplement, the U.S. Prospectus Supplement, the U.S. Base Prospectus and the Registration Statement, the "Offering Documents"). The U.S. Prospectus Supplement, the U.S. Base Prospectus and the Registration Statement are available on EDGAR at the SEC's website at www.sec.gov, and the Prospectus Supplement and the Base Shelf Prospectus are available on the SEDAR website maintained by the Canadian Securities Administrators at .
自动柜员机计划下的发售是根据于2022年8月15日提交给美国证券交易委员会(“美国证券交易委员会”)的F-10表格注册说明书(“注册说明书”)(文件编号333-266898)中包含的信托美国基础招股说明书(“美国基础招股说明书”)2022年8月16日的招股说明书补编(“美国招股说明书补编”)以及日期为8月15日的信托加拿大短格式基础货架招股说明书的招股说明书补编(“招股说明书补编”)进行的。2022年(《基地架招股说明书》,连同《招股说明书补编》、《美国招股说明书补编》、《美国基地招股说明书》和《注册说明书》,称为《发售文件》)。美国招股章程副刊、美国基础招股章程和注册说明书可在EDGAR的美国证券交易委员会网站www.sec.gov上查阅,招股说明书补编和基础架子招股说明书可在加拿大证券管理人维护的SEDAR网站上查阅。
Before you invest, you should read the Offering Documents and other documents that the Trust has filed for more complete information about the Trust, the Sales Agreement and the ATM Program.
在您投资之前,您应该阅读发行文件和信托提交的其他文件,以获得关于信托、销售协议和自动取款机计划的更完整的信息。
Listing of the Units sold pursuant to the ATM Program on the NYSE and the TSX will be subject to fulfilling all applicable listing requirements.
根据自动柜员机计划出售的单位在纽约证券交易所和多伦多证券交易所上市须符合所有适用的上市要求。
This press release shall not constitute an offer to sell or a solicitation of an offer to buy, nor shall there be any sale of these securities in any jurisdiction in which an offer, solicitation or sale would be unlawful prior to registration or qualifications under the securities laws of any such jurisdiction.
本新闻稿不应构成出售要约或征求购买要约,也不应在任何司法管辖区出售这些证券,如果在任何司法管辖区的证券法规定的注册或资格之前,要约、征求或出售是非法的。
About Sprott Asset Management and the Trust
Sprott Asset Management, a subsidiary of Sprott Inc., is the investment manager to the Trust. Important information about the Trust, including its investment objectives and strategies, applicable management fees, and expenses, is contained in the Trust's annual information form for the year ended December 31, 2021 (the "AIF"), which can be found on , in the U.S. on www.sec.gov and in Canada on . Commissions, management fees, or other charges and expenses may be associated with investing in the Trust. The performance of the Trust is not guaranteed, its value changes frequently and past performance is not an indication of future results.
关于斯普罗特资产管理和信托
Sprott Inc.的子公司Sprott Asset Management是该信托基金的投资管理公司。关于该信托基金的重要信息,包括其投资目标和战略、适用的管理费和开支,包含在该信托基金截至2021年12月31日的年度信息表格(“AIF”)中,该表格可在、美国的www.sec.gov和加拿大的上找到。佣金、管理费或其他费用和开支可能与投资信托基金有关。信托基金的业绩不受保证,其价值经常变化,过去的业绩不能预示未来的结果。
To learn more about the Trust, please visit .
要了解更多关于信托基金的信息,请访问。
Caution Regarding Forward-Looking Statements
This press release contains forward-looking statements within the meaning of applicable United States securities laws and forward-looking information within the meaning of Canadian securities laws (collectively, "forward-looking statements"). Forward-looking statements in this press release include, without limitation, statements regarding the ATM Program, including the intended use of proceeds from any sale of Units and the timing and ability of the Trust to obtain all necessary regulatory approvals. With respect to the forward-looking statements contained in this press release, the Trust has made numerous assumptions regarding, among other things: the price of gold and anticipated costs and the impact of the COVID-19 pandemic on the Trust's business, financial condition and results of operations. While the Trust considers these assumptions to be reasonable, these assumptions are inherently subject to significant business, economic, competitive, market and social uncertainties and contingencies. Additionally, there are known and unknown risk factors that could cause the Trust's actual results, performance or achievements to be materially different from any future results, performance or achievements expressed or implied by the forward-looking statements contained in this press release. A discussion of risks and uncertainties facing the Trust appears in the AIF, and the Offering Documents, each as updated by the Trust's continuous disclosure filings, which are available at www.sec.gov and . All forward-looking statements herein are qualified in their entirety by this cautionary statement, and the Trust disclaims any obligation to revise or update any such forward-looking statements or to publicly announce the result of any revisions to any of the forward-looking statements contained herein to reflect future results, events or developments, except as required by law.
有关前瞻性陈述的注意事项
本新闻稿包含适用的美国证券法定义的前瞻性陈述和加拿大证券法定义的前瞻性信息(统称为“前瞻性陈述”)。本新闻稿中的前瞻性陈述包括但不限于关于自动柜员机计划的陈述,包括任何单位销售收益的预期用途以及信托公司获得所有必要的监管批准的时间和能力。关于本新闻稿中包含的前瞻性陈述,信托基金对以下方面做出了许多假设:黄金价格和预期成本,以及新冠肺炎疫情对信托基金业务、财务状况和经营结果的影响。尽管信托基金认为这些假设是合理的,但这些假设本身就受到重大商业、经济、竞争、市场和社会不确定因素和意外情况的影响。此外,存在已知和未知的风险因素,可能导致信托公司的实际结果、业绩或成就与本新闻稿中包含的前瞻性陈述中明示或暗示的任何未来结果、业绩或成就大不相同。对信托公司面临的风险和不确定性的讨论出现在AIF和发售文件中,每一份文件都由信托公司的持续披露文件更新,这些文件可在www.sec.gov和。本文中的所有前瞻性陈述均受本警示声明的约束,信托公司没有义务修改或更新任何此类前瞻性陈述,或公开宣布对本文中包含的任何前瞻性陈述进行任何修改的结果,以反映未来的结果、事件或发展,除非法律另有要求。
For more information:
有关详细信息,请参阅:
Glen Williams
Managing Director, Investor and Institutional Client Relations
Tel: 416.943.4394
Email: gwilliams@sprott.com
格伦·威廉姆斯
管理董事、投资者和机构客户关系
电话:416.943.4394
电子邮件:gwilliams@sprott.com