share_log

Abrdn Asia-Pacific Income Fund, Inc. Announces Details of Upcoming 1-For-6 Reverse Stock Split

Abrdn Asia-Pacific Income Fund, Inc. Announces Details of Upcoming 1-For-6 Reverse Stock Split

亞洲收入基金公司宣佈即將進行1比6的股票分拆
Accesswire ·  08/19 08:00

PHILADELPHIA, PA / ACCESSWIRE / August 19, 2024 / abrdn Asia-Pacific Income Fund, Inc. (NYSE American:FAX) (the "Fund"), a closed-end fund, announced today that the Fund's Board of Directors approved a 1-for-6 reverse stock split of the Fund's common stock.

封閉式基金abrdn Asia-Pacific Income Fund, Inc. (NYSE美國:FAX)(「基金」)宣佈,基金董事會批准對基金普通股進行1股並6股的權益拆分。

The Fund anticipates completing a 1-for-6 reverse stock split prior to the open of trading on the New York Stock Exchange (the "NYSE") on September 9, 2024, for common stockholders of record as of the close of business on September 6, 2024. Trading in shares of the Fund's common stock on a split-adjusted basis is expected to begin at the open of trading on the NYSE on September 9, 2024. Shares of the Fund's common stock will continue trading on the NYSE American under its existing ticker symbol (NYSE American: FAX) but will be assigned the new CUSIP number below.

基金預計在2024年9月9日紐約證券交易所(「紐交所」)開盤前完成1股並6股的權益拆分,登記於2024年9月6日營業結束時的普通股股東。預計基金普通股在拆分調整的基礎上交易將於2024年9月9日紐交所開盤時開始。基金普通股將繼續在NYSE American以現有的股票代碼(NYSE美國: FAX)上交易,但將獲得以下新的CUSIP編號。

Ticker

Fund Name

Old CUSIP

New CUSIP

FAX

abrdn Asia-Pacific Income Fund, Inc.

003009107

003009867

逐筆明細

基金名稱

舊CUSIP

新CUSIP

FAX

hqh基金亞太收入基金

003009107

003009867

As a result of the reverse stock split, every six shares of the Fund's outstanding common stock will be converted into one share of common stock. A reverse stock split will decrease the number of the Fund's shares of common stock outstanding and potentially increase the market price per share of common stock by a proportional amount. While the number of the Fund's outstanding shares of common stock will decline, neither the Fund's portfolio holdings nor the total value of stockholders' investments in the Fund will be affected as a result of the reverse stock split. After the reverse stock split, common stockholders' accounts will reflect proportionally fewer shares of common stock with a higher net asset value per share of common stock and each common stockholder will hold the same percentage of the Fund's outstanding shares of common stock as such stockholder held immediately prior to the reverse stock split, subject to adjustments for fractional shares resulting from the reverse stock split (discussed below).

由於該權益拆分,基金現有普通股的每6股將被轉換爲1股普通股。股票拆分將會減少該基金普通股的流通數量,並有可能以相應的比例增加每股普通股的市場價格。儘管該基金普通股的流通數量將會減少,但該基金的投資組合持倉或股東在該基金的總資產中的投資價值不會因爲股票拆分而受到影響。經過股票拆分後,普通股股東的帳戶將反映比例減少的普通股,每股普通股的淨資產價值將更高,每個普通股股東將持有與股東在股票拆分前持有的該基金普通股的流通股份百分比相同的股票,對於拆分而導致的碎股進行分配調整(如下所述)

The Fund's current monthly distribution of $0.0275 per share reflects the Fund's distribution policy to provide stockholders with a relatively stable cash flow per share out of current income, supplemented by realized capital gains and, to the extent necessary, paid-in capital, which is a non-taxable return of capital. In connection with the reverse stock split, the Fund's fixed monthly distribution will be adjusted from $0.0275 per share to $0.165 per share, beginning with the first distribution to be declared following the effective date of the reverse stock split. Such adjustment to the Fund's fixed monthly distribution will result in no change in monthly cash flow to stockholders or the distribution on net asset value following the reverse stock split.

該基金目前每股分配0.0275美元,反映了該基金分配政策,即通過當前收入提供相對穩定的每股現金流,加上已實現的資本收益,和在必要時支付的已投入的資本,這是無稅的回報。與權益拆分相關聯,該基金的固定月度分配將從每股0.0275美元調整爲每股0.165美元,從權益拆分生效日後宣佈的第一次分配開始調整。該基金的固定月度分配的這種調整將不會對股東的每月現金流或股東投資中的資產淨值分配造成任何變化。

The Board of Directors and abrdn believe that increasing the market price per share of the Fund's common stock through the reverse stock split may broaden the range of potential investors in shares of the Fund's common stock, thereby potentially improving the market for, and liquidity of, shares of the Fund's common stock. This would have the effect of reducing the per share transaction costs associated with buying or selling shares of the Fund's common stock in the secondary market.

董事會和abrdn認爲,通過股票拆分提高基金普通股的市場價格可能會擴大潛在投資者對基金普通股的興趣,從而有可能改善基金普通股的市場和流動性。這將有助於減少在二級市場上購買或出售基金普通股所涉及的每股交易成本。

No fractional shares will be issued as a result of the reverse stock split. Fractional shares that may result from the reverse stock split will be aggregated and sold on the NYSE by the Fund's transfer agent and the proceeds will be distributed pro rata among stockholders who would otherwise have received fractional shares in the reverse stock split. The pro rata cash payment received by stockholders will be net of any customary fees and expenses in proportion to their allocable share of the total proceeds of the sales. Stockholders will be receiving additional information regarding the reverse stock split from Computershare Trust Company, N.A., the Fund's transfer agent.

由於該權益拆分,碎股將不會發行。因此權益拆分可能帶來的碎股將由該基金的股權代理彙總和銷售於紐約證券交易所,並將按比例分配所得款項給股東。向股東支付的比例性現金款項將按比例扣除任何慣常費用和支出,以分配他們的分攤份額。股東將收到來自基金股權代理(Computershare Trust Company,N.A.)的權益拆分的其他信息。

* * *

* * *

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.

在美國,abrdn是以下附屬註冊投資顧問的營銷名稱: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 the Fund will achieve its investment objective. Past performance does not guarantee future results.

封閉式基金在一級市場上交易,可以通過證券交易所之一在二級市場上交易。基金的投資回報和本金價值將會波動,因此投資者的股份可能高於或低於原始成本。封閉式基金的股票可能交易高於或低於基金組合的資產淨值(淨資產價值)。不能保證該基金將實現其投資目標。過去的表現並不保證未來的結果。

abrdnfax.com

abrdnfax.com

# # #

# # #

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 Asia-Pacific Income Fund, Inc.

來源: abrdn 亞太收益基金公司。


声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
    搶先評論