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Sustainable Real Estate Dividend Fund Announces Distributions and Confirms Redemption Effective Date of March 27, 2024

Sustainable Real Estate Dividend Fund Announces Distributions and Confirms Redemption Effective Date of March 27, 2024

可持续房地产股息基金宣布分配并确认赎回生效日期为2024年3月27日
GlobeNewswire ·  01/23 06:42

TORONTO, Jan. 22, 2024 (GLOBE NEWSWIRE) -- Sustainable Real Estate Dividend Fund (TSX: MSRE.UN) (the "Fund") is pleased to announce that distributions for the first quarter of 2024 will be payable to unitholders of Middlefield Sustainable Real Estate Dividend Fund as follows:

多伦多,2024 年 1 月 22 日(GLOBE NEWSWIRE)——可持续房地产 股息基金 多伦多证券交易所股票代码:MSRE.UN)(“基金”)欣然宣布,2024年第一季度的分配将支付给米德尔菲尔德可持续房地产的单位持有人 股息基金 如下所示:

Record Date Payable Date Distribution Per
Trust Unit
January 31, 2024 February 15, 2024 $0.04167
February 29, 2024 March 15, 2024 $0.04167
March 31, 2024 April 15, 2024 $0.04167
记录日期 应付款日期 每人分配
信托股
2024年1月31日 2024年2月15日 $0.04167
2024年2月29日 2024年3月15日 $0.04167
2024年3月31日 2024年4月15日 $0.04167

On January 10, 2024, the Fund issued a press release (the "Press Release") announcing its merger into Middlefield Real Estate Dividend ETF on or about May 16, 2024 (the "Merger"). Prior to the Merger, unitholders of the Fund will have the right to redeem their Fund units in accordance with the Fund's Declaration of Trust with an effective redemption date as of March 27, 2024 (the "Redemption Date"). The Press Release incorrectly referred to the Redemption Date as being March 28, 2024. Unitholders who participate in the redemption will not be eligible for the distribution payable on April 15, 2024. The Press Release also incorrectly referred to the merger date as on or about May 16, 2023, rather than on or about May 16, 2024.

2024年1月10日,该基金发布了一份新闻稿(“新闻稿”),宣布于2024年5月16日左右并入米德尔菲尔德房地产股息ETF(“合并”)。在合并之前,基金的单位持有人将有权根据基金的信托声明赎回其基金单位,有效赎回日期为2024年3月27日(“赎回日”)。新闻稿错误地将兑换日期称为2024年3月28日。参与赎回的单位持有人将没有资格获得2024年4月15日支付的分配。新闻稿还错误地将合并日期称为2023年5月16日左右,而不是2024年5月16日左右。

The trust units trade on the Toronto Stock Exchange under the symbol MSRE.UN.

信托单位在多伦多证券交易所上市,股票代码为MSRE.UN。

Middlefield

米德尔菲尔德

Founded in 1979. Middlefield is a specialist equity income asset manager headquartered in Toronto, Canada. Our investment team utilizes active management to select high-quality, global companies across a variety of sectors and themes. Our product offerings include proven dividend-focused strategies that span real estate, healthcare, innovation, infrastructure, energy, diversified income and more. We offer these solutions in a variety of product types including ETFs, Mutual Funds, Closed-End Funds, Split-Share Funds and Flow-through LPs.

成立于 1979 年。Middlefield是一家专业的股票收益资产管理公司,总部位于加拿大多伦多。我们的投资团队利用积极的管理来选择各个领域和主题的高质量全球公司。我们的产品包括久经考验的以股息为中心的策略,涵盖房地产、医疗保健、创新、基础设施、能源、多元化收入等。我们提供各种产品类型的这些解决方案,包括交易所买卖基金、共同基金、封闭式基金、分股基金和流通型有限合伙人。

For further information, please visit our website at or contact Nancy Tham in our Sales and Marketing Department at 1.888.890.1868.

欲了解更多信息,请访问我们的网站 或者致电 1.888.890.1868 联系我们销售和市场部的 Nancy Tham。

This press release contains forward-looking information. The forward-looking information contained in this press release is based on historical information concerning distributions and dividends paid on the securities of issuers historically included in the portfolio of the Fund. Actual future results, including the amount of distributions paid by the Fund, may differ from the monthly distribution amount. Specifically, the income from which distributions are paid may vary significantly due to: changes in portfolio composition; changes in distributions and dividends paid by issuers of securities included in the Fund's portfolio from time to time; there being no assurance that those issuers will pay distributions or dividends on their securities; the declaration of distributions and dividends by issuers of securities included in the portfolio will generally depend upon various factors, including the financial condition of each issuer and general economic and stock market conditions; the level of borrowing by the Fund; and the uncertainty of realizing capital gains. The risks, uncertainties and other factors that could influence actual results are described under "Risk Factors" in the Fund's prospectus and other documents filed by the Fund with the Canadian securities regulatory authorities. The forward-looking information contained in this press release constitutes the Fund's current estimate, as of the date of this press release, with respect to the matters covered hereby. Investors and others should not assume that any forward-looking statement contained in this press release represents the Fund's estimate as of any date other than the date of this press release.

本新闻稿包含前瞻性信息。本新闻稿中包含的前瞻性信息基于有关历来包含在基金投资组合中的发行人证券的分红和分红的历史信息。包括基金支付的分配金额在内的未来实际业绩可能与每月分配金额有所不同。具体而言,支付分红的收入可能会有很大差异,原因是:投资组合构成的变化;基金投资组合中包含的证券发行人的分红和分红不时发生变化;无法保证这些发行人会为其证券支付分红或分红;t投资组合中所含证券的发行人申报的分配和分红通常将取决于各种因素,包括每个发行人的财务状况和总体经济和股票市场状况;基金的借款水平; 以及实现资本收益的不确定性.可能影响实际业绩的风险、不确定性和其他因素在基金的招股说明书和基金向加拿大证券监管机构提交的其他文件中的 “风险因素” 下进行了描述。 本新闻稿中包含的前瞻性信息构成了基金截至本新闻稿发布之日对本新闻稿所涵盖事项的当前估计。投资者和其他人不应假设本新闻稿中包含的任何前瞻性陈述代表基金截至本新闻稿发布之日以外的任何日期的估计。


译文内容由第三方软件翻译。


以上内容仅用作资讯或教育之目的,不构成与富途相关的任何投资建议。富途竭力但不能保证上述全部内容的真实性、准确性和原创性。
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