Canoe Financial Renews At-The-Market Equity Program for Canoe EIT Income Fund
Canoe Financial Renews At-The-Market Equity Program for Canoe EIT Income Fund
Not for distribution to U.S. Newswire Services or for dissemination in the United States.
不得向美國新聞服務或在美國傳播。
CALGARY, Alberta, Dec. 19, 2024 (GLOBE NEWSWIRE) -- Canoe EIT Income Fund (the "Fund") (TSX: EIT.UN) (TSX: EIT.PR.A) (TSX: EIT.PR.B) is pleased to announce that it is renewing its at-the-market equity program (the "ATM Program") that will allow the Fund to issue up to $625,000,000 of units of the Fund (the "Units") to the public from time to time, at the discretion of Canoe Financial LP (the "Manager"). Any Units issued pursuant to the ATM Program will be sold at the prevailing market price at the time of sale through the Toronto Stock Exchange (the "TSX") or any other marketplace in Canada on which the Units are listed, quoted or otherwise traded. This ATM Program replaces the prior program established in December 2022 that has terminated.
阿爾伯塔省卡爾加里,2024年12月19日(環球新聞)-- Canoe EIt 基金("基金")(TSX: EIt.UN)(TSX: EIt.PR.A)(TSX: EIt.PR.B)很高興地宣佈,它正在更新市場上發行股權的計劃("市場計劃"),該計劃將允許基金在Canoe Financial LP("管理人")的決策下,從時間到時間向公衆發行最高625,000,000美元的基金單位("單位")。根據市場計劃發行的任何單位將在銷售時通過多倫多證券交易所("TSX")或其他在加拿大掛牌、報價或其他交易的市場以當時的市場價格出售。該市場計劃取代了2022年12月設立的先前的計劃,該計劃已終止。
The volume and timing of distributions under the ATM Program, if any, will be determined at the Manager's sole discretion. The ATM Program will be effective until January 17, 2027 unless terminated prior to such date by the Fund. The Fund intends to use the proceeds from the ATM Program in accordance with the Fund's investment objectives and strategies, subject to the Fund's investment restrictions.
市場計劃下的分配量和時間(如有)將由管理人自行決定。市場計劃將在2027年1月17日之前有效,除非基金在該日期之前予以終止。基金打算根據基金的投資目標和策略使用市場計劃的收益,同時遵守基金的投資限制。
The Fund's regular monthly distribution of $0.10 per Unit remains unchanged. The Fund has maintained the $0.10 per Unit monthly distribution since August 2009, through varying market conditions. The Fund's annual voluntary redemption feature for unitholders also remains unchanged.
基金每單位0.10美元的定期月度分配保持不變。自2009年8月以來,基金在不同的市場條件下保持每單位0.10美元的月度分配。基金對單元持有人的年度自願贖回功能也保持不變。
Sales of the Units through the ATM Program will be made pursuant to the terms of an equity distribution agreement dated December 18, 2024 with National Bank Financial Inc. (the "Agent").
通過ATM計劃銷售單位將根據與National Bank Financial Inc.("代理人")於2024年12月18日簽署的股權分配協議的條款進行。
Sales of Units 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 Units in Canada. Since the Units will be distributed at prevailing market prices at the time of the sale, prices may vary among purchasers during the period of distribution. In order to ensure that the price at which the Units are sold under the ATM Program is at least equal to the most recent net asset value per Unit, the Manager may make voluntary cash contributions per Unit to the Fund depending on the price at which Units are sold during the period of any distribution. The ATM Program is being offered pursuant to a prospectus supplement dated December 18, 2024 to the Fund's short form base shelf prospectus dated December 17, 2024. Copies of the prospectus supplement and the short form base shelf prospectus may be obtained from your registered financial advisor using the contact information for such advisor, or from representatives of the Agent, and are available on SEDAR+ at .
單位的銷售將通過"市場分配"的方式進行,如National Instrument 44-102庫存分配在TSX或加拿大的任何市場對單位的定義所示。由於單位將在銷售時以當時的市場價格進行分配,因此在分配期間,價格在購買者之間可能會有所不同。爲了確保通過ATM計劃銷售的單位價格至少等於每單位最近的淨資產價值,管理者可以根據單位在任何分配期間售出的價格自願對基金進行每單位的現金貢獻。ATM計劃是根據2024年12月18日的補充招股說明書向基金的短期基礎貨架招股說明書(2024年12月17日)提供的。補充招股說明書和短期基礎貨架招股說明書的副本可通過您的註冊財務顧問獲取,使用該顧問的聯繫信息,或通過代理人的代表獲取,並可在SEDAR+上獲得。
The Units have not been, nor will be, registered under the United States Securities Act of 1933, as amended, or any state securities laws and may not be offered or sold in the United States or to U.S. persons absent registration or applicable exemption from the registration requirement of such Act and applicable state securities laws. This news release shall not constitute an offer to sell, or the solicitation of an offer to buy, nor shall there be any sale of these securities in any jurisdiction in which such offer, solicitation or sale would be unlawful prior to qualification under the securities laws of any such jurisdiction.
這些單位尚未也將不會根據1933年美國證券法(修正案)或任何州證券法進行註冊,並且在未註冊或適用豁免的情況下,不能在美國或向美國人士提供或出售這些單位。此次資訊發佈不構成出售要約或買入要約的邀請,也不應在任何法律規定禁止的管轄區進行這些證券的銷售。
About Canoe EIT Income Fund
關於Canoe EIt收入基金
Canoe EIT Income Fund is one of Canada's largest closed-end investment funds, designed to maximize monthly distributions and capital appreciation by investing in a broadly diversified portfolio of high quality securities. The Fund is listed on the TSX under the symbol EIT.UN, and is actively managed by Robert Taylor, Senior Vice President and Chief Investment Officer, Canoe Financial.
Canoe EIt收入基金是加拿大最大的封閉式投資基金之一,旨在通過投資於廣泛多樣化的高質量證券組合,實現月度分配和資本增值。該基金在TSX上市,標的爲EIt.UN,由Canoe Financial的高級副總裁兼首席投資官Robert Taylor積極管理。
About Canoe Financial
關於Canoe Financial
Canoe Financial is one of Canada's fastest growing independent mutual fund companies managing over $19 billion in assets across a diversified range of award-winning investment solutions. Founded in 2008, Canoe Financial is an employee-owned investment management firm focused on building financial wealth for Canadians. Canoe Financial has a significant presence across Canada, including offices in Calgary, Toronto and Montreal.
Canoe Financial是加拿大發展最快的獨立共同基金公司之一,管理着超過190億的資產,提供多樣化的獲獎投資解決方案。Canoe Financial成立於2008年,是一家員工持有的投資管理公司,專注於爲加拿大人建立財務財富。Canoe Financial在加拿大各地有着顯著的影響力,包括在卡爾加里、多倫多和蒙特利爾的辦公室。
For further information, please contact:
Investor Relations
1-877-434-2796
info@canoefinancial.com
如需更多信息,請聯繫:
投資者關係
1-877-434-2796
info@canoefinancial.com
Forward Looking Statement: Certain statements included in this news release constitute forward looking statements which reflect Canoe Financial LP's current expectations regarding future results or events. Words such as "may," "will," "should," "could," "anticipate," "believe," "expect," "intend," "plan," "potential," "continue" and similar expressions have been used to identify these forward-looking statements. In addition, any statement regarding future performance, strategies, prospects, action or plans is also a forward-looking statement. Market predictions and forward-looking statements are subject to known and unknown risks and uncertainties and other factors that may cause actual results, performance, events, activity and achievements to differ materially from those expressed or implied by such statements. Forward looking statements involve significant risks and uncertainties and a number of factors could cause actual results to materially differ from expectations discussed in the forward looking statements including, but not limited to, changes in general economic and market conditions and other risk factors. Although the forward-looking statements are based on what Canoe Financial LP believes to be reasonable assumptions, we cannot assure that actual results will be consistent with these forward-looking statements. Investors should not place undue reliance on forward-looking statements. These forward-looking statements are made as of the current date and we assume no obligation to update or revise them to reflect new events or circumstances. The Fund makes monthly distributions of an amount comprised in whole or in part of return of capital (ROC) of the net asset value per Unit. A ROC reduces the amount of your original investment and may result in the return to you of the entire amount of your original investment. ROC that is not reinvested will reduce the net asset value of the Fund, which could reduce the Fund's ability to generate future income. You should not draw any conclusions about the Fund's investment performance from the amount of this distribution. Commissions, trailing commissions, management fees and expenses all may be associated with investment funds. Please read the information filed about the Fund on before investing. Investment funds are not guaranteed and past performance may not be repeated. This communication is not to be construed as a public offering to sell, or a solicitation of an offer to buy securities. Such an offer can only be made by way of a prospectus or other applicable offering document and should be read carefully before making any investment. This release is for information purposes only. Investors should consult their Investment Advisor for details and risk factors regarding specific strategies and various investment products.
前瞻性聲明:本新聞稿中包含的某些聲明構成前瞻性聲明,反映了Canoe Financial LP對未來結果或事件的當前預期。諸如"可能"、"將"、"應該"、"可以"、"預期"、"相信"、"期待"、"打算"、"計劃"、"潛在"、"繼續"等類似表達已被用來識別這些前瞻性聲明。此外,任何關於未來表現、戰略、前景、行動或計劃的聲明也是前瞻性聲明。市場預測和前瞻性聲明受已知和未知的風險、不確定性和其他因素的影響,這些因素可能導致實際結果、表現、事件、活動和成就與此類聲明所表達或暗示的結果存在重大差異。前瞻性聲明涉及重大風險和不確定性,許多因素可能導致實際結果與前瞻性聲明中討論的預期存在重大差異,包括但不限於一般經濟和市場條件的變化以及其他風險因素。儘管前瞻性聲明是基於Canoe Financial LP認爲合理的假設,我們不能保證實際結果將與這些前瞻性聲明一致。投資者不應對前瞻性聲明過度依賴。此類前瞻性聲明是截至當前日期發佈的,我們對更新或修訂以反映新事件或情況不承擔任何義務。本基金按月分配部分或全部的資本回報(ROC),該金額的來源是每單位的淨資產價值。資本回報會減少您原始投資的金額,並可能導致您退回您原始投資的全部金額。未再投資的資本回報將減少基金的淨資產價值,這可能會降低基金產生未來收入的能力。您不應根據該分配的金額得出基金投資表現的任何結論。佣金、尾隨佣金、管理費和費用可能與投資基金相關。請在投資前閱讀關於本基金的信息。投資基金不保證,過去的表現可能無法重現。本通信不得被解釋爲公開要約出售或對購買證券的要約的招攬。這樣的要約只能通過招股書或其他適用的要約文件進行,且在進行任何投資之前應仔細閱讀。此發佈僅供信息使用。投資者應諮詢其投資顧問以獲取有關特定策略和各種投資產品的詳細信息和風險因素。
譯文內容由第三人軟體翻譯。