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Invesco Advisers, Inc. Announces Liquidation Details for Invesco High Income 2024 Target Term Fund

Invesco Advisers, Inc. Announces Liquidation Details for Invesco High Income 2024 Target Term Fund

景順顧問公司宣佈景順2024年高收益目標期限基金的清算詳情
PR Newswire ·  10/22 05:00

ATLANTA, Oct. 21, 2024 /PRNewswire/ -- Invesco Advisers, Inc., a subsidiary of Invesco Ltd. (NYSE: IVZ), announced today additional details concerning the liquidation of Invesco High Income 2024 Target Term Fund (NYSE: IHTA) (the "Fund"). In accordance with its investment objectives and organizational documents, the Fund plans to terminate and liquidate on or about December 2, 2024 (the "Termination Date").

2024年10月21日,亞特蘭大 / PRNewswire報道 -- 景順投資顧問公司,景順有限公司(紐約證券交易所:IVZ)的子公司,今天宣佈有關景順2024年目標期限基金(紐約證券交易所:IHTA)("基金")清算的更多細節。根據其投資目標和組織文件,該基金計劃於2024年12月2日或前後終止和清算("終止日期")。

As the Fund prepares for its liquidation on the Termination Date, the Fund will deviate from its stated investment strategy and policies, which are to primarily invest in securities collateralized by loans secured by real properties and other real estate related debt securities. Instead, the Fund's portfolio managers will continue to move the Fund's assets to high quality, short-term securities and U.S. Treasury securities, and cash and cash equivalents. As of October 21, 2024, the Fund's portfolio consisted of approximately 100% cash and cash equivalents.

隨着基金爲終止日期上的清算做準備,基金將偏離其規定的投資策略和政策,該策略主要是投資於由房地產擔保的貸款擔保的證券以及其他房地產相關債務證券。相反,基金的投資組合經理將繼續將基金的資產轉移到高質量的短期證券和美國國債證券,以及現金及等價物。截至2024年10月21日,基金的投資組合約佔了100% 的現金及等價物。

The Fund's investment objectives are to provide a high level of current income and to return $9.835 per share (the original net asset value ("NAV") per Common Share before deducting offering costs of $0.02 per share) ("Original NAV") to common shareholders on the Termination Date. As previously disclosed, based on current market conditions, management anticipates that the Fund's objective of returning the Original NAV to common shareholders on or about the Termination Date will not be met. The objective to return the Fund's Original NAV is not an express or implied guarantee obligation of the Fund and is dependent on a number of factors. As of October 18, 2024, the Fund's NAV per share was $7.71.

該基金的投資目標是提供高水平的現金收入,並在終止日期向普通股東返還每股9.835美元(扣除每股0.02美元的發行費用前的普通股淨資產值("NAV")("原始NAV"))。正如此前披露的,基金管理層預計,基於當前市場情況,基金在終止日期前後向普通股東返還原始NAV的目標將無法實現。返還基金原始NAV的目標並不構成基金的明示或暗示擔保義務,並且依賴於多種因素。截至2024年10月18日,該基金的每股NAV爲7.71美元。

The Fund's common shares will continue trading on the New York Stock Exchange through November 25, 2024 and will be suspended from trading before the open of trading on November 26, 2024. The Fund will declare its regular monthly distribution in November 2024 and expects that all other accumulated earnings will be included in the final liquidating distribution. The Fund anticipates making its final liquidating distribution on or about the Termination Date.

該基金的普通股將繼續在紐約證券交易所交易,直至2024年11月25日,並將在2024年11月26日交易開盤前暫停交易。基金將在2024年11月宣佈其常規月度分配,並預計所有其他累積收益將包含在最終清算分配中。該基金預計將於終止日期前後進行最終清算分配。

Shareholders may recognize a gain or loss for U.S. tax purposes as a result of the liquidation of the Fund. Invesco does not provide tax advice; shareholders should consult a professional tax advisor regarding their specific tax situation.

基金清算可能導致股東在美國稅務上認定爲盈利或虧損。景順不提供稅務建議;股東應就其具體稅務情況諮詢專業稅務顧問。

For more information, call 1-800-341-2929.

欲獲取更多信息,請撥打1-800-341-2929。

This communication is not intended to, and shall not, constitute an offer to purchase or sell shares of any of the Invesco Funds, including the Fund.

本通訊並非旨在構成對任何景順基金的購買或賣出提議。

About Invesco Ltd.
Invesco Ltd. is a global independent investment management firm dedicated to delivering an investment experience that helps people get more out of life. Our distinctive investment teams deliver a comprehensive range of active, passive, and alternative investment capabilities. With offices in more than 20 countries, Invesco managed $1.7 trillion in assets on behalf of clients worldwide as of June 30, 2024. For more information, visit .

關於景順有限公司。
景順有限公司是一家致力於提供投資體驗,幫助人們更好地享受生活的全球獨立投資管理公司。我們獨特的投資團隊提供全面的主動、被動和另類投資能力範圍。截至2024年6月30日,景順在20多個國家設有辦事處,代表客戶管理着1.7萬億美元的資產。欲了解更多信息,請訪問。

Invesco Distributors, Inc. is the U.S. distributor for Invesco Ltd.'s retail products. Invesco Advisers, Inc. is an investment adviser; it provides investment advisory services to individual and institutional clients and does not sell securities. Each entity is a wholly owned, indirect subsidiary of Invesco Ltd.

景順分銷公司是景順有限公司零售產品的美國分銷商。景順投資顧問公司是一家投資顧問;爲個人和機構客戶提供投資諮詢服務,不負責出售證券。每個實體均爲景順有限公司的全資間接附屬公司。

Note: There is no assurance that a closed-end fund will achieve its investment objective. Common shares are bought on the secondary market and may trade at a discount or premium to NAV. Regular brokerage commissions apply.

注意:無法保證封閉式基金將實現其投資目標。普通股在二級市場上購買,並可按淨資產值以溢價或折價交易。一般的佣金費用適用。

NOT A DEPOSIT l NOT FDIC INSURED l NOT GUARANTEED BY THE BANK | MAY LOSE VALUE | NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY

非存款 | 未受FDIC保險 | 不受銀行保證 | 可能損失價值 | 未受聯邦政府機構保險

Media Relations Contact: Matthew Chisum, [email protected], 212-652-4368

媒體關係聯繫人:Matthew Chisum,[email protected],212-652-4368

SOURCE Invesco Ltd.

信息來源:英富時有限公司。

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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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