share_log

Citadel Income Fund Extends Special Redemption Expiry Date

Citadel Income Fund Extends Special Redemption Expiry Date

Citadel 收益基金延长特别赎回到期日
GlobeNewswire ·  2023/11/16 10:33

TORONTO, Nov. 16, 2023 (GLOBE NEWSWIRE) -- Citadel Income Fund (TSX – CTF.UN) (the "Fund") is pleased to announce the extension of the special redemption expiry date to redeem an aggregate of not less than 7,186,900 units of the Fund (the "Units") at an amount per Unit equal to the net asset value per Unit less redemption costs equal to 4.5% of the net asset value per Unit plus applicable taxes (the "Special Redemption").

多伦多,2023年11月16日(GLOBE NEWSWIRE)——Citadel收益基金(TSX — CTF.UN)(“基金”)欣然宣布延长特别赎回到期日,以每单位金额等于单位净资产价值减去相当于每单位净资产价值4.5%的赎回成本,共计不少于7,186,900个单位(“单位”)加上适用的税费(“特别兑换”)。

The Special Redemption offer was originally set to conclude on November 16, 2023, the new deadline for redemption is now November 27, 2023.

特别兑换优惠原定于2023年11月16日结束,现在新的兑换截止日期是2023年11月27日。

In order to redeem their Units, Unitholders must deliver a redemption notice to their broker sufficiently in advance to ensure that such notice is then delivered to the Fund's transfer agent by no later than 5:00 p.m. (Toronto time) on November 27, 2023.

为了赎回其单位,单位持有人必须提前向其经纪人发出赎回通知,以确保在2023年11月27日下午5点(多伦多时间)之前将此类通知送达基金的过户代理人。

There are no further changes to the press release issued on November 07, 2023.

2023年11月7日发布的新闻稿没有进一步的变化。

The redemption date for the Special Redemption has been set for December 7, 2023. If requests for redemptions exceed 7,186,900 Units, then the Units will be redeemed on a pro rata basis.

特别兑换的兑换日期已定为2023年12月7日。如果兑换请求超过 7,186,900 个单位,则这些单位将按以下方式兑换 按比例计算 基础。

On or about December 14, 2023, the Fund will announce the special redemption price and the Fund expects to pay the redemption proceeds to redeeming Unitholders on or before January 3, 2024.

在2023年12月14日左右,基金将公布特殊赎回价格,基金预计将在2024年1月3日当天或之前向赎回的单位持有人支付赎回收益。

Unitholders wishing to participate in either redemption should contact their brokers if they have any questions about how to provide a redemption notice.

希望参与任一赎回的单位持有人如果对如何提供赎回通知有任何疑问,应联系其经纪商。

For further information, please contact your financial advisor or Artemis Investment Management's investor relations line at (416) 934-7455 or by email at info@artemisfunds.ca or visit our website at .

欲了解更多信息,请致电 (416) 934-7455 联系您的财务顾问或阿耳忒弥斯投资管理公司的投资者关系热线,或发送电子邮件至 info@artemisfunds.ca 或访问我们的网站,网址为。

Forward-Looking Statements

前瞻性陈述

Certain statements in this press release are "forward-looking" within the meaning of applicable Canadian securities laws, including but not limited to statements about the redemption offer and matters relating thereto. Forward‐looking statements are generally, but not always, identified by the words "expects", "plans", "anticipates", "in the event", "if", "believes", "asserts", "position", "intends", "envisages", "assumes", "recommends", "estimates", "approximate", "projects", "potential", "indicate" and similar expressions, or that events or conditions "will", "would", "may", "could" or "should" occur. Forward-looking statements in this news release include statements with respect to the completion and payment of the redemptions set out herein. Forward‐looking statements are necessarily based upon the current belief, opinions and expectations of the

本新闻稿中的某些声明是适用的加拿大证券法所指的 “前瞻性”,包括但不限于有关赎回优惠及其相关事项的声明。前瞻性陈述通常以 “期望”、“计划”、“预期”、“在事件中”、“如果”、“相信”、“断言”、“立场”、“打算”、“设想”、“假设”、“推荐”、“估计”、“近似”、“项目”、“潜力”、“表明” 和类似的表述或该事件,但并非总是如此或 “将”、“将”、“可能”、“可能” 或 “应该” 出现的情况。本新闻稿中的前瞻性陈述包括有关完成和支付本新闻稿中规定的赎回的陈述。前瞻性陈述必然基于当前的信念、观点和期望

Fund that, while considered reasonable by the Fund, are inherently subject to significant risks and uncertainties that could cause the outcome to differ materially from current expectations. Such risks and uncertainties include, among others, litigation, business, economic, competitive, political and social uncertainties and other contingencies. Many factors could cause the Fund's actual results to differ materially from those expressed or implied in the forward‐looking statements. These factors include, among others, uncertainties related to the redemption offer as well as other risk factors set out under the heading "Risk" in the Fund's Annual Report for the year ended December 31, 2022, which is available on SEDAR+ at . Investors are cautioned not to put undue reliance on forward‐looking statements due to the inherent uncertainty therein.

该基金虽然认为合理,但本质上存在重大风险和不确定性,可能导致结果与当前预期存在重大差异。此类风险和不确定性包括诉讼、商业、经济、竞争、政治和社会不确定性以及其他突发事件。许多因素可能导致基金的实际业绩与前瞻性陈述中表达或暗示的业绩存在重大差异。除其他外,这些因素包括与赎回优惠相关的不确定性以及截至2022年12月31日的基金年度报告中 “风险” 标题下列出的其他风险因素,该报告可在SEDAR+上查阅,网址为。提醒投资者不要过分依赖前瞻性陈述,因为其中固有的不确定性。


声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
    抢沙发