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Infrastructure Dividend Split Corp. Class A Distributions

Infrastructure Dividend Split Corp. Class A Distributions

製造行業股息分割公司A類分配
GlobeNewswire ·  06/21 22:12

TORONTO, June 21, 2024 (GLOBE NEWSWIRE) -- Infrastructure Dividend Split Corp. (TSX:IS) (the "Fund") is pleased to announce that a distribution for June 2024 will be payable to Class A shareholders as follows:

Infrastructure Dividend Split Corp. (TSX:IS)("基金")很高興宣佈,2024年6月的分配將按以下方式支付給A類股東:


Record Date

Payable Date
Distribution Per
Preferred Share
June 30, 2024 July 15, 2024 $0.125

股權登記日

發放日期
每股分配
優先股
2024年6月30日 2024年7月15日 $0.125

The Fund's Distribution Reinvestment Plan (the "Plan"), which commences on June 30, 2024, allows Class A shareholders to automatically reinvest monthly distributions in additional equity shares of the Fund thereby achieving the benefit of compounding returns. Please contact your investment advisor to enroll in the Plan.

基金的分配再投資計劃("計劃")將於2024年6月30日啓動,允許A類股東自動再投資月度分配,以獲得複利回報。請聯繫您的投資顧問以申請加入計劃。

The equity shares trade on the Toronto Stock Exchange under the symbol IS.

股票代號爲IS,股票在多倫多證券交易所交易。

Middlefield

Middlefield是一家成立於1979年的專業股息資產管理公司,總部位於加拿大多倫多。我們的投資團隊採用積極管理策略,選擇各個領域和主題的高品質全球公司。我們的產品包括經過證明的以股息爲重點的戰略,涵蓋房地產、醫療保健、創新、基礎設施、能源、多元化收入等。我們提供多種產品類型,包括ETF、共同基金、封閉式基金、分割份額基金和流通型LP。

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.

或者聯繫我們銷售和市場部的 Nancy Tham,電話爲1.888.890.1868。

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

如需更多信息,請訪問我們的網站本新聞稿包含前瞻性信息。本新聞稿中包含的前瞻性信息基於歷史信息,涉及基金組合中歷史上包括在其中的證券支付的分配和股息。實際的未來結果,包括基金支付的分配金額,可能與月度分配金額有所不同。具體而言,支付分配的收入可能會因以下原因而發生顯著變化:基金組合的變化;基金組合中包括的證券發行人不時支付的分配和股息的變化;不能保證這些發行人將在其證券上支付分配或股息;發行人宣佈分配和股息通常取決於各種因素,包括每個發行人的財務狀況和一般經濟和股票市場狀況;基金的借款水平;實現資本收益的不確定性。可能會影響實際結果的風險、不確定性和其他因素在基金的招股說明書和其他向加拿大證券監管機構提交的文件中有所描述。

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.

本新聞發佈的前瞻信息構成了基金在本新聞發佈日認爲的估計。投資者和其他人不應當假定本新聞發佈中包含的任何前瞻性陳述代表基金除本新聞發佈日以外的任何日期的估計。包含在組合內的證券發行人宣佈分配和分紅通常取決於各種因素,包括每個發行人的財務狀況和總體經濟及股市環境;基金借款水平;本新聞發佈的前瞻信息構成了基金在本新聞發佈日認爲的估計。投資者和其他人不應當假定本新聞發佈中包含的任何前瞻性陳述代表基金除本新聞發佈日以外的任何日期的估計。如果以上文本不可理解,請聯繫我們的銷售和市場部 Nancy Tham,電話爲1.888.890.1868。


譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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