Abrdn Asia-Pacific Income Fund Vcc Announces Monthly Distribution
Abrdn Asia-Pacific Income Fund Vcc Announces Monthly Distribution
TORONTO, ON / ACCESSWIRE / December 11, 2023 / abrdn Asia-Pacific Income Investment Fund VCC (TSX:FAP) (UEN:T21VC0235H) (the "Company"), a closed-end investment company trading on the Toronto Stock Exchange, announced today that it will pay a monthly distribution of CAD 1.75 cents per share on January 10, 2024 to all shareholders of record as of December 29, 2023 (ex-dividend date December 28, 2023).
安大略省多倫多/ACCESSWIRE/2023年12月11日/在多倫多證券交易所交易的封閉式投資公司abrdn亞太收益投資基金VCC(多倫多證券交易所股票代碼:FAP)(UEN: T21VC0235H)(以下簡稱 “公司”)今天宣佈,將於2024年1月10日向截至2023年12月29日的所有登記股東支付每股1.75加元的月度分紅(除息)日期 2023 年 12 月 28 日)。
The policy of the Company's Board of Directors is to maintain a stable monthly distribution. For the 12 months to November 30, 2023, the Company has paid total distributions amounting to CAD 22.0 cents per ordinary share.
公司董事會的政策是維持穩定的月度分配。在截至2023年11月30日的12個月中,公司支付的總分配額爲每股普通股22.0美分加元。
As a Singapore domiciled company, all distribution payments will be treated as foreign income for Canadian income tax purposes. Shareholders with registered addresses in Canada will receive distributions in Canadian dollars unless they have elected otherwise.
作爲一家在新加坡註冊的公司,出於加拿大所得稅的目的,所有分配款項都將被視爲國外收入。註冊地址在加拿大的股東將獲得加元分配,除非他們另有選擇。
The Company's estimated sources of the current fiscal year to date distributions is as follows:
公司對本財年迄今爲止分配的估計來源如下:
Total |
Estimated Component of Distribution from Earnings |
Estimated Component of Distribution in Excess of Available Net Investment Income |
$0.0350 |
$0.0350 |
$0.0000 |
總計 |
收益分配的估計組成部分 |
分配中超過可用淨投資收益的估計部分 |
0.0350 美元 |
0.0350 美元 |
0.0000 美元 |
Shareholders should not draw any conclusions about the Company's investment performance from the amount of the Company's current distribution. The amounts and sources of distributions set out above are estimates only and are not being provided for tax reporting purposes. The final determination of the source of all distributions made in 2023 will be made after the year-ended 2023. The actual amounts and sources of the amounts of distributions for tax reporting purposes will depend upon the Company's results during the remainder of the calendar year and are subject to any changes to applicable tax regulations. Information for tax reporting purposes will be provided to the Company's shareholders on a Form T5 in February of 2024.
股東不應從公司目前的分配金額中得出任何關於公司投資表現的結論。上面列出的分配金額和來源僅爲估計值,不用於納稅申報目的。2023年進行的所有分配來源的最終確定將在2023年底之後作出。用於納稅申報目的的分配金額的實際金額和來源將取決於公司在本日曆年度剩餘時間內的業績,並可能受到適用的稅收法規的任何變更的影響。用於納稅申報目的的信息將在2024年2月通過T5表格提供給公司股東。
Important Information
重要信息
Past performance is no guarantee of future results. Investment returns and principal will fluctuate and shares, when sold, may be worth more or less than the original cost. Current performance may be lower or higher than the performance data quoted. NAV returned data includes investment management fees, custodial charges, bank loan expenses and administrative fees (such as Director and legal fees) and assumes the reinvestment of all distributions. The Company is subject to investment risk, including the possible loss of principal. Total return based on net asset value reflects changes in the Company's net asset value during each period. Total return based on market price reflects changes in market value.
過去的表現並不能保證未來的業績。投資回報和本金將波動,出售股票的價值可能高於或低於原始成本。當前性能可能低於或高於引用的性能數據。資產淨值返回的數據包括投資管理費、託管費、銀行貸款費用和管理費(例如袍金和律師費),並假設所有分配均爲再投資。公司面臨投資風險,包括可能的本金損失。基於淨資產價值的總回報反映了每個時期公司淨資產價值的變化。基於市場價格的總回報反映了市場價值的變化。
abrdn is the registered marketing name in Canada for the following entities: abrdn Canada Limited, abrdn Inc., abrdn Investments Luxembourg S.A., abrdn Private Equity (Europe) Limited, abrdn Capital Partners LLP, and abrdn Alternative Funds Limited. abrdn Canada Limited is registered as a Portfolio Manager and Exempt Market Dealer in all provinces and territories of Canada as well as an Investment Fund Manager in the provinces of Ontario, Quebec, and Newfoundland and Labrador.
abrdn 是以下實體在加拿大的註冊營銷名稱:abrdn Canada Limited、abrdn Inc.、abrdn Investments Limited Limited(歐洲)、abrdn Capital Partners Llp 和 abrdn 另類基金有限公司。abrdn Canada Limited 在加拿大所有省份和地區註冊爲投資組合經理和豁免市場交易商,並在以下省份註冊爲投資基金經理安大略、魁北克、紐芬蘭和拉布拉多。
Closed-end funds are traded on the secondary market through one of the stock exchanges. The Company'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 Company. There is no assurance that the Company will achieve its investment objective. Past performance does not guarantee future results.
封閉式基金通過其中一個證券交易所在二級市場上交易。公司的投資回報和本金價值將波動,因此投資者的股票價值可能高於或低於原始成本。封閉式基金股票的交易價格可能高於公司的淨資產價值(NAV)(溢價)或低於(折扣)。無法保證公司會實現其投資目標。過去的表現並不能保證未來的業績。
For More Information Contact:
欲了解更多信息,請聯繫:
abrdn Asia-Pacific Income Fund VCC
Investor Relations
1-800-992-6341
Investor.Relations@abrdn.com
abrdn 亞太收益基金 VCC
投資者關係
1-800-992-6341
Investor.Relations@abrdn.com
SOURCE: abrdn Asia-Pacific Income Fund VCC
來源:abrdn 亞太收益基金 VCC
譯文內容由第三人軟體翻譯。