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Roundhill Investments Announces 2024 Distributions for XPAY

Roundhill Investments Announces 2024 Distributions for XPAY

Roundhill投資宣佈XPAY的2024年度分配
PR Newswire ·  11/05 19:00

NEW YORK, Nov. 5, 2024 /PRNewswire/ -- Roundhill Investments, an ETF sponsor focused on innovative financial products, has announced the following ETF distributions for the Roundhill S&P 500 Target 20 Managed Distribution ETF (XPAY).

紐約,2024年11月5日 / PRNewswire / - Roundhill Investments,一家專注於創新金融產品的etf贊助商,已宣佈Roundhill標普500目標20管理分紅etf (XPAY)的以下etf分發。

Based on the Fund's initial NAV and its 20% annualized distribution target, the Adviser has calculated a monthly distribution rate of $0.972333 for 2024.

根據基金的初始淨值和其20%的年化分發目標,顧問計算出2024年的月度分配率爲0.972333美元。

Distribution
Per Share

Ex-Date

Record Date

Pay Date

$0.972333

11/6/24

11/6/24

11/7/24

$0.972333

12/11/24

12/11/24

12/12/24

當期
每股

除息日期

股權登記日

支付日

$0.972333

11/6/24

11/6/24

11/7/24

$0.972333

12/11/24

12/11/24

12/12/24

The Roundhill S&P 500 Target 20 Managed Distribution ETF ("XPAY") is designed to pay monthly return of capital distributions to shareholders at an annualized rate of twenty percent, while providing exposure to the S&P 500. XPAY is an actively-managed ETF.

Roundhill S&P 500 Target 20 管理分配etf("XPAY")旨在以年化20%的比例向股東支付資本分配月度回報,同時提供對S&P 500的暴露。XPAY是一隻主動管理的etf。

The performance data quoted represents past performance. Past performance does not guarantee future results. Current performance may be lower or higher than the performance data quoted. The investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than their original cost. Returns less than one year are not annualized. For the most recent standardized and month-end performance, please click here: XPAY.

引用的績效數據代表過往績效。過往績效並不代表未來結果。當前績效可能低於或高於引用的績效數據。投資回報和投資的本金價值會波動,從而使投資者的股份在出售或贖回時可能值得比其原始成本更多或更少。一年以下的回報不是年化的。要獲取最近的標準化和月末績效數據,請點擊這裏:XPAY。

The Fund intends to declare and pay monthly distributions to shareholders at an annualized distribution rate of 20% that is based on the closing NAV of the Fund on the final business day of December each calendar year, although this policy may be amended at any time. It is anticipated that such distributions will consist entirely of return of capital. Insofar as the Fund has net investment income in a given year, such net investment income will be paid out via an additional distribution some or all of which will not be characterized as return of capital. The targeted annual distribution rate is not guaranteed and may be decreased or increased in the future.

該基金打算按照每年12月最後一個工作日的基金收盤淨資產值爲基礎,以20%的年化分配比例向股東宣佈並支付月度分配,儘管該政策可隨時進行修訂。預計此類分配將完全由資本的回報組成。在基金在某一年度具有淨投資收入的情況下,將通過額外的分配支付披露的一些或全部淨投資收入,其中一些或全部不被歸類爲資本的回報。目標年度分配比例不受保證,未來可能會降低或增加。

Distribution rate based on starting period NAV.

分配比例基於起始期淨資產值。

About Roundhill Investments:

投資者在投資之前應仔細考慮投資目標,風險,費用和開支。有關WEED Cannabis ETF的招股說明書或摘要招股說明書,請致電1-855-561-5728或訪問網站

Founded in 2018, Roundhill Investments is an SEC-registered investment advisor focused on innovative exchange-traded funds. Roundhill's suite of ETFs offers distinct and differentiated exposures across thematic equity, options income, and trading vehicles. Roundhill offers a depth of ETF knowledge and experience, as the team has collectively launched more than 100+ ETFs including several first-to-market products. To learn more about the company, please visit roundhillinvestments.com.

Roundhill Investments成立於2018年,是一家專注於創新交易所交易基金的美國證券交易委員會註冊投資顧問。Roundhill的一系列etf在主題股票、期權收入和交易工具方面提供不同的暴露。Roundhill擁有豐富的etf知識和經驗,團隊共推出了100多款etf,包括一些首創產品。欲了解更多有關該公司的信息,請訪問roundhillinvestments.com。

This material must be preceded or accompanied by a prospectus.

這份資料必須在招股說明書之前或之後附有。

Click here for the XPAY prospectus.

點擊這裏查看XPAY招股說明書。

Investors should consider the investment objectives, risk, charges and expenses carefully before investing. For a prospectus or summary prospectus with this and other information please call 1-855-561-5728 or visit the website at . Read the prospectus or summary prospectus carefully before investing.

投資者應在投資前仔細考慮投資目標、風險、費用和開支。如需了解此信息以及其他信息的招股說明書或簡式招股說明書,請撥打1-855-561-5728或訪問網站。在投資前,請仔細閱讀招股說明書或簡式招股說明書。

Return of capital represents a return of a portion of a Fund shareholder's invested capital and is not taxable in the year it is received unless the distribution exceeds a shareholder's basis in the Fund. However, a return of capital may result in an increase in a later gain on a sale of Fund Shares or a reduction of a loss.

資本返還代表基金股東投資資本部分的返還,除非分配超過股東對基金的成本基礎,否則在收到時不徵稅。然而,資本返還可能導致後續在基金份額出售時獲利增加或虧損減少。

The strategy targets those investors who seek monthly income from their investment but wish to retain exposure to the return of the S&P 500 Index. Because a significant portion of the Fund's distributions will consist of return of capital, the Fund may not be an appropriate investment for investors who do not want their principal investment in the Fund to decrease over time or who do not wish to receive return of capital in a given period.

該策略針對那些希望從投資中獲得月度收入但又希望保持暴露於標普500指數收益的投資者。由於基金分配的相當部分將包括資本返還,基金可能不適合不希望基金本金隨時間減少或不希望在特定期間獲得資本返還的投資者。

Distribution Tax Risk. The Fund currently expects to make distributions on a monthly basis. These distributions are expected and designed to exceed the Fund's income and gains for the Fund's taxable year. Distributions in excess of the Fund's current and accumulated earnings and profits will be treated as a return of capital. The Fund seeks to be managed such that the entirety of the Fund's distributions will be treated as a return of capital. A return of capital distribution generally will not be taxable but currently will reduce the shareholder's cost basis and will result in a higher capital gain or lower capital loss when those Fund Shares on which the distribution was received are sold. Once a Fund shareholder's cost basis is reduced to zero, further distributions will be treated as capital gain if the Fund shareholder holds Fund Shares as capital assets. Additionally, any capital returned through distributions will be distributed after payment of Fund fees and expenses. Because a significant portion of the Fund's distributions will consist of return of capital, the Fund may not be an appropriate investment for investors who do not want their principal investment in the Fund to decrease over time or who do not wish to receive return of capital in a given period.

分配稅務風險。基金目前預計每月進行分配。這些分配預計旨在超過基金的收入和利潤。超過當前和累積盈餘的分配將被視爲資本返還。基金儘量管理以使所有分配都被視爲資本返還。資本返還分配通常不會納稅,但會降低股東成本基礎,並在出售獲得分配的基金份額時導致更高的資本增益或更低的資本虧損。

Market Risk. Market risk is the risk that a particular security, or shares of the Fund ("Fund Shares") in general, may fall in value. Securities are subject to market fluctuations caused by such factors as economic, political, regulatory or market developments, changes in interest rates and perceived trends in securities prices.

市場風險。市場風險是特定安全性或基金("基金份額")的風險總體可能下跌。證券會受經濟、政治、監管或市場發展、利率變化和證券價格趨勢等因素引起的市場波動影響。

Managed Payout Risk. The Fund intends to pay monthly distributions to shareholders based upon based on the NAV of the Fund on the final business day of December each calendar year. Distributions will be paid from Fund assets regardless of the Fund's performance or the level of dividends, income and capital gains earned by the Fund, and will reduce the amount of assets available for investment by the Fund. If distributions paid by the Fund exceed the Fund's earnings and profits, distributions of that excess will be treated as a return of capital to the extent of your tax basis in your Fund Shares.

管理分紅風險。基金打算根據12月每年最後一個營業日基金資產淨值向股東支付月度派息。派息將從基金資產中支付,不考慮基金表現、基金賺取的分紅、收入和資本利得水平,並將減少基金可用於投資的資產金額。如果基金支付的派息超過基金的收益和利潤,該超額派息將按您基金份額的稅基範圍進行資本返還處理。

The targeted annual distribution rate to be paid by the Fund each year is based on the NAV of the Fund on the final business day of December of the prior year. The targeted annual distribution rate is not guaranteed and may be decreased or increased in the future. The actual annual distribution rate paid by the Fund each month or year may be higher or lower than the targeted rate.

基金每年擬支付的目標年度分配率基於前一年12月最後一個營業日的基金資產淨值。目標年度分配率不保證,並可能在未來下調或上調。基金每月或每年實際支付的年度分配率可能高於或低於目標率。

SPY ETF Risks. The Fund will have significant exposure to the S&P 500 Index and the SPY ETF through its investments in the SPY FLEX Options. Accordingly, the Fund will subject to the risks of the SPY ETF.

SPY etf風險。基金將通過在SPY FLEX期權中的投資嚴重暴露於標普500指數和SPY etf的風險。因此,基金將面臨SPY etf的風險。

FLEX Options Risk. Trading FLEX Options involves risks different from, or possibly greater than, the risks associated with investing directly in securities. The Fund may experience losses from specific FLEX Option positions and certain FLEX Option positions may expire worthless. The FLEX Options are listed on an exchange; however, no one can guarantee that a liquid secondary trading market will exist for the FLEX Options. In the event that trading in the FLEX Options is limited or absent, the value of the Fund's FLEX Options may decrease.

FLEX期權風險。交易FLEX期權涉及與直接投資證券不同或可能更大的風險。基金可能因特定FLEX期權頭寸而蒙受損失,並且某些FLEX期權頭寸可能毫無價值。FLEX期權在交易所上市;但是,無人能保證FLEX期權會存在一個流動的二級交易市場。如果FLEX期權的交易受到限制或缺席,基金的FLEX期權價值可能會下降。

Active Management Risk. The Fund is actively-managed and its performance reflects investment decisions that the Adviser and/or Sub-Adviser makes for the Fund. Such judgments about the Fund's investments may prove to be incorrect.

主動管理風險。該基金採取積極管理方法,其表現反映了基金顧問和/或副顧問爲基金所做的投資決策。對於基金投資的判斷可能會被證明是錯誤的。

Active Market Risk. Although Fund Shares are listed for trading on the Exchange, there can be no assurance that an active trading market for Fund Shares will develop or be maintained.

主動市場風險。儘管基金股票在交易所上市交易,但不能保證會形成或維持基金股份的活躍交易市場。

Concentration Risk. The Fund may be susceptible to an increased risk of loss, including losses due to adverse events that affect the Fund's investments more than the market as a whole, to the extent that the Fund's investments are concentrated in the securities and/or other assets of a particular issuer or issuers, country, group of countries, region, market, industry, group of industries, sector, market segment or asset class.

集中風險。基金可能會面臨增加的損失風險,包括由於影響基金投資而不僅僅是整個市場的不利事件而造成的損失,以及基金投資集中在特定發行人或發行人的證券和/或其他資產,國家,國家組織,地區,市場,行業,行業組,板塊,市場細分或資產類別的情況。

Derivatives Risk. The use of derivative instruments (i.e. options contracts) involves risks different from, or possibly greater than, the risks associated with investing directly in securities and other traditional investments. These risks include: (i) the risk that the counterparty to a derivative transaction may not fulfill its contractual obligations; (ii) risk of mispricing or improper valuation; and (iii) the risk that changes in the value of the derivative may not correlate perfectly with the underlying asset.

衍生品風險。使用衍生工具(即期權合約)涉及不同於直接投資證券和其他傳統投資的風險,可能更大。這些風險包括:(i)衍生交易的交易對手可能無法履行其合同義務的風險;(ii)定價或估值不當的風險;(iii)衍生資產價值變化可能與基礎資產並非完全相關的風險。

New Fund Risk. The Fund is a recently organized investment company with a limited operating history. As a result, prospective investors have a limited track record or history on which to base their investment decision.

新基金風險。基金是一家剛成立的投資公司,經營歷史有限。因此,潛在投資者在基於其投資決策的有限跟蹤記錄或歷史的基礎上進行投資決策。

Roundhill Financial Inc. serves as the investment advisor. The Funds are distributed by Foreside Fund Services, LLC which is not affiliated with Roundhill Financial Inc., U.S. Bank, or any of their affiliates.

Roundhill Financial Inc.擔任投資顧問。基金由Foreside Fund Services,LLC分銷,與Roundhill Financial Inc.,美國銀行或其任何關聯公司無關。

Glossary

術語簡介

S&P 500 Index (S&P 500): The S&P 500 Index is a measure of large-cap U.S. stock market performance. It is a float-adjusted, market capitalization-weighted index of 500 U.S. operating companies and real estate investment trusts selected through a process that factors in criteria such as liquidity, price, market capitalization, financial viability and public float. It is rebalanced quarterly in March, June, September and December.

標普500指數(標普500):標普500指數是衡量美國大盤股市表現的指標。它是一個根據流通股份,市值加權的由500家美國運營公司和房地產投資信託組成的指數,通過考慮流動性,價格,市值,財務可行性和公開流通股等標準進行選擇。每季度在3月,6月,9月和12月進行再平衡。

SOURCE Roundhill Investments

來源:Roundhill Investments

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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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