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Global Dividend Growth Split Corp. Establishes At-The-Market Equity Program

Global Dividend Growth Split Corp. Establishes At-The-Market Equity Program

全球股息增長Split Corp. 建立了市場股票計劃
GlobeNewswire ·  2023/04/15 05:35

Not for distribution to U.S. newswire services or for dissemination in the United States.

不用於分發給美國新聞專線服務或在美國傳播

TORONTO, April 14, 2023 (GLOBE NEWSWIRE) -- (TSX: GDV, GDV.PR.A) Global Dividend Growth Split Corp. (the "Company") is pleased to announce it has established an at-the-market equity program ("ATM Program") that allows the Company to issue class A and preferred shares (the "Class A Shares" and "Preferred Shares", respectively) to the public from time to time, at the Company's discretion. Any Class A Shares or Preferred Shares sold in the ATM Program will be sold through the Toronto Stock Exchange (the "TSX") or any other marketplace in Canada on which the Class A Shares and Preferred Shares are listed, quoted or otherwise traded at the prevailing market price at the time of sale. Sales of Class A Shares and Preferred Shares through the ATM Program will be made pursuant to the terms of an equity distribution agreement dated April 14, 2023 (the "Equity Distribution Agreement") with RBC Capital Markets (the "Agent").

多倫多,2023 年 4 月 14 日(GLOBE NEWSWIRE)— (TSX:GDV、GDV.PR.A) Global Dividend Growth Split Corp.(“公司”)欣然宣佈,它已制定了一項市場股票計劃(“ATM計劃”),允許公司自行決定不時向公衆發行A類和優先股(分別爲 “A類股票” 和 “優先股”)。在自動櫃員機計劃中出售的任何A類股票或優先股將通過多倫多證券交易所(“多倫多證券交易所”)或加拿大任何其他以出售時現行市場價格上市、報價或以其他方式交易A類股票和優先股的市場出售。通過ATM計劃出售A類股票和優先股將根據2023年4月14日與加拿大皇家銀行資本市場(“代理人”)簽訂的股權分配協議(“股權分配協議”)的條款進行。

Sales of Class A Shares and Preferred Shares will be made by way of "at-the-market distributions" as defined in National Instrument 44-102 Shelf Distributions on the TSX or on any marketplace for the Class A Shares and Preferred Shares in Canada. Since the Class A Shares and Preferred Shares will be distributed at the prevailing market prices at the time of the sale, prices may vary among purchasers during the period of distribution. The ATM Program is being offered pursuant to a prospectus supplement dated April 14, 2023 to the Company's short form base shelf prospectus dated September 22, 2022. The maximum gross proceeds from the issuance of the shares will be $75 million for each of the Class A and Preferred Shares. Copies of the prospectus supplement and the short form base shelf prospectus may be obtained from your registered financial advisor or from representatives of the Agent and are available on SEDAR at .

A類股票和優先股的銷售將通過 “市場分配” 進行,如國家儀器44-102所定義 書架分佈 在多倫多證券交易所或任何加拿大A類股票和優先股市場上。由於A類股票和優先股將按出售時的現行市場價格分配,因此在分配期間,購買者的價格可能會有所不同。自動櫃員機計劃是根據公司於2022年9月22日發佈的簡短基礎架招股說明書於2023年4月14日發佈的招股說明書補充文件提供的。A類和優先股每股發行股票的最大總收益將爲7500萬美元。招股說明書補充文件和簡短的基本架構招股說明書的副本可從您的註冊財務顧問或代理人代表處獲得,可在SEDAR上查閱,網址爲:

The volume and timing of distributions under the ATM Program, if any, will be determined at the Company's sole discretion. The ATM Program will be effective until October 22, 2024, unless terminated prior to such date by the Company. The Company intends to use the proceeds from the ATM Program in accordance with the investment objectives and investment strategies of the Company, subject to the investment restrictions of the Company.

根據自動櫃員機計劃發放的數量和時間(如果有)將由公司自行決定。除非公司在2024年10月22日之前終止,否則自動櫃員機計劃將有效期至2024年10月22日。公司打算根據公司的投資目標和投資策略使用自動櫃員機計劃的收益,但須遵守公司的投資限制。

The Company invests in a diversified portfolio (the "Portfolio") of equity securities of large capitalization global dividend growth companies selected by Brompton Funds Limited (the "Manager"), the manager of the Company. In order to qualify for inclusion in the Portfolio, at the time of investment and at the time of each periodic reconstitution and/or rebalancing of the Portfolio, each global dividend growth company included in the Portfolio must (i) have a market capitalization of at least $10 billion, and (ii) have a history of dividend growth or, in the Manager's view, have high potential for future dividend growth.

公司投資於公司經理Brompton Funds Limited(“經理”)選擇的大盤全球股息增長公司的股票證券的多元化投資組合(“投資組合”)。爲了獲得納入投資組合的資格,在投資時以及每次定期重組和/或重新平衡投資組合時,投資組合中包含的每家全球股息增長公司必須 (i) 市值至少爲100億美元,並且 (ii) 有股息增長的歷史,或者在經理看來,具有很大的未來股息增長潛力。

The investment objectives for the Class A Shares are to provide holders with regular monthly cash distributions and to provide the opportunity for capital appreciation through exposure to the Portfolio.

A類股票的投資目標是爲持有人提供定期的每月現金分配,並通過投資組合提供資本增值的機會。

The investment objectives for the Preferred Shares are to provide holders with fixed cumulative preferential quarterly cash distributions, currently in the amount of $0.125 per Preferred Share, and to return the original issue price to holders of Preferred Shares on June 30, 2026.

優先股的投資目標是向持有人提供固定的累積優先季度現金分配,目前爲每股優先股0.125美元,並在2026年6月30日向優先股持有人返還原始發行價格。

About Brompton Funds
Founded in 2000, Brompton is an experienced investment fund manager with income focused investment solutions including exchange-traded funds (ETFs) and other TSX traded investment funds. For further information, please contact your investment advisor, call Brompton's investor relations line at 416-642-6000 (toll-free at 1-866-642-6001), email info@bromptongroup.com or visit our website at .

關於 Brompton Funds
Brompton成立於2000年,是一家經驗豐富的投資基金經理,提供以收益爲中心的投資解決方案,包括交易所交易基金(ETF)和其他多倫多證券交易所交易的投資基金。欲瞭解更多信息,請聯繫您的投資顧問,致電布朗普頓的投資者關係熱線416-642-6000(免費電話1-866-642-6001),發送電子郵件至 info@bromptongroup.com 或訪問我們的網站。

You will usually pay brokerage fees to your dealer if you purchase or sell shares of the Company on the TSX or other alternative Canadian trading system (an "exchange"). If the shares are purchased or sold on an exchange, investors may pay more than the current net asset value when buying shares of the Company and may receive less than the current net asset value when selling them.

如果您在多倫多證券交易所或其他加拿大替代交易系統(“交易所”)上購買或出售公司的股票,您通常需要向交易商支付經紀費。如果在交易所購買或出售股票,則投資者在購買公司股票時支付的費用可能超過當前的淨資產價值,而在出售股票時獲得的費用可能低於當前的淨資產價值。

There are ongoing fees and expenses associated with owning shares of an investment fund. An investment fund must prepare disclosure documents that contain key information about the fund. You can find more detailed information about the Company in its public filings available at . Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

持有投資基金的股票會持續產生費用和開支。投資基金必須準備披露文件,其中包含有關基金的關鍵信息。您可以在公開文件中找到有關該公司的更多詳細信息,網址爲。投資基金沒有保障,其價值經常變化,過去的表現可能不會重演。

Certain statements contained in this document constitute forward-looking information within the meaning of Canadian securities laws. Forward-looking information may relate to matters disclosed in this document and to other matters identified in public filings relating to the Company, to the future outlook of the Company and anticipated events or results and may include statements regarding the future financial performance of the Company. In some cases, forward-looking information can be identified by terms such as "may", "will", "should", "expect", "plan", "anticipate", "believe", "intend", "estimate", "predict", "potential", "continue" or other similar expressions concerning matters that are not historical facts. Actual results may vary from such forward-looking information. Investors should not place undue reliance on forward-looking statements. These forward-looking statements are made as of the date hereof and we assume no obligation to update or revise them to reflect new events or circumstances.

本文件中包含的某些陳述構成加拿大證券法所指的前瞻性信息。前瞻性信息可能與本文件中披露的事項以及與公司有關的公開文件中確定的其他事項、公司的未來前景和預期事件或業績有關,可能包括有關公司未來財務業績的陳述。在某些情況下,可以通過 “可能”、“將”、“應該”、“期望”、“計劃”、“預期”、“相信”、“打算”、“估計”、“預測”、“潛力”、“繼續” 等術語來識別前瞻性信息,或者其他與非歷史事實有關的事項的類似表達。實際結果可能與此類前瞻性信息有所不同。投資者不應過分依賴前瞻性陳述。這些前瞻性陳述自本文發佈之日起作出,我們沒有義務對其進行更新或修改以反映新的事件或情況。

The securities offered have not been registered under the U.S. Securities Act of 1933, as amended, and may not be offered or sold in the United States absent registration or any applicable exemption from the registration requirements. This news release does not constitute an offer to sell or the solicitation of an offer to buy securities nor will there be any sale of such securities in any state in which such offer, solicitation or sale would be unlawful.

所發行的證券尚未根據經修訂的1933年《美國證券法》進行註冊,未經註冊或未獲得註冊要求的任何適用豁免,不得在美國發行或出售。本新聞稿不構成出售要約或招攬購買證券的要約,也不會在任何此類要約、招攬或出售非法的州出售此類證券。


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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