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Press Release: The Korea Fund, Inc. Reports Results for the Fiscal Quarter Ended September 30, 2020

Press Release: The Korea Fund, Inc. Reports Results for the Fiscal Quarter Ended September 30, 2020

新聞稿:韓國基金公司公佈截至2020年9月30日的財季業績
Dow Jones Newswires ·  2020/11/30 16:05

Press Release: The Korea Fund, Inc. Reports Results for the Fiscal Quarter Ended September 30, 2020

新聞稿:韓國基金公司公佈截至2020年9月30日的財季業績

The Korea Fund, Inc. Reports Results for the Fiscal Quarter Ended September 30, 2020

韓國基金公司公佈截至2020年9月30日的財季業績


NEW YORK--(BUSINESS WIRE)--November 30, 2020--


紐約--(美國商業新聞網)--2020年11月30日--

The Korea Fund, Inc. (the "Fund") (NYSE: KF), a non-diversified, closed-end investment company, which seeks long-term capital appreciation through investment in securities, primarily equity securities of Korean companies, today announced its results for the fiscal quarter ended September 30, 2020.

亞洲網加利福尼亞州聖何塞9月30日電韓國基金公司(以下簡稱“基金”)(紐約證券交易所市場代碼:KF)是一家非多元化封閉式投資公司,該公司通過投資證券(主要是韓國公司的股權證券)尋求長期資本增值。該公司今天公佈了截至2020年9月30日的會計季度業績。

At September 30, --------------------------------------- 2020 2019 ------------ ------------
Net Assets $177,292,794 $159,378,771
Shares Outstanding 5,031,219 (a) 5,094,360
Net Asset Value ("NAV") $35.24 $31.29
Market Price $29.65 $27.43
Discount to NAV (15.86)% (12.34)% Quarter ended September 30, --------------------------------------- 2020 2019 ------------ ------------
Net Investment Loss $(365,544) $(243,488)
Per Share (b) $(0.07) $(0.05)
Net Realized and Change in Unrealized Gain/Loss $21,202,516 $(7,543,469)
Per Share $4.20 $(1.46)

9月30日
淨資產177,292,794美元159,378,771美元
未償還股份5,031,219(A)5,094,360
資產淨值(資產淨值)$35.24$31.29
市價29.65元27.43元
截至9月30日的季度資產淨值折扣率(15.86)%(12.34)%
投資淨虧損$(365,544)$(243,488)
每股(B)$(0.07)$(0.05)
已實現淨額和未實現損益變動$21,202,516$(7,543,469)
每股4.20美元(1.46)

(a) Under its share repurchase program, the Fund repurchased 9,730 shares for the fiscal quarter ended September 30, 2020.

(A)根據其股票回購計劃,基金在截至2020年9月30日的財政季度回購了9,730股股票。

(b) Calculated on average common shares outstanding during the year.

(B)按年內已發行普通股的平均數計算。

Allianz Global Investors U.S. LLC is the Fund's investment manager. Investment in closed-end funds involves risks. Additional risks are associated with international investing, such as currency fluctuation, government regulations, economic changes and differences in liquidity, which may increase the volatility of an investment in the Fund. Foreign securities markets generally exhibit greater price volatility and are less liquid than the U.S. market. Additionally, this Fund focuses its investments in certain geographical regions, thereby increasing its vulnerability to developments in that region. All of these factors potentially subject the Fund's shares to greater price volatility. The NAV of the Fund will fluctuate with the value of the underlying securities. Closed-end funds trade on their market value, not NAV, and closed-end funds often trade at a discount to their NAV.

安聯全球投資者美國有限責任公司(Allianz Global Investors U.S.LLC)是該基金的投資管理公司。投資封閉式基金涉及風險。其他風險與國際投資有關,如貨幣波動、政府法規、經濟變化和流動性差異,這可能會增加基金投資的波動性。與美國市場相比,外國證券市場通常表現出更大的價格波動性和更低的流動性。此外,該基金將投資重點放在某些地理區域,從而增加了其受該區域事態發展影響的脆弱性。所有這些因素都可能使國際貨幣基金組織的股票面臨更大的價格波動。基金的資產淨值將隨標的證券的價值而波動。封閉式基金的交易依據是其市值,而不是資產淨值,而封閉式基金的交易價格往往低於其資產淨值。

The Fund's daily New York Stock Exchange closing market price and NAV, as well as other information, including updated portfolio statistics and performance are available at www.thekoreafund.com or by calling the Fund's stockholder servicing agent at (800) 254-5197.

基金每日紐約證券交易所收盤價和資產淨值,以及其他信息,包括最新的投資組合統計數據和業績,可在www.thekoreafund.com上查閲,或致電基金股東服務代理,電話:(800)254-5197。

The financial information contained herein is solely based upon the data available at the time of publication of this press release, and there is no assurance that any future results will be the same or similar to what is reported herein. Information that was obtained from third party sources we believe to be reliable is not guaranteed as to its accuracy or completeness. This press release contains no recommendations to buy or sell any specific securities and should not be considered investment advice of any kind. Past performance is no guarantee of future results and the investment returns generated by the Fund will fluctuate. There can be no assurance the Fund will meet its stated objective. There is no assurance that the market price of the Fund's shares, either absolutely or relative to NAV, will increase as a result of any share repurchases. In making any investment decision, individuals should utilize other information sources and the advice of their own professional adviser.

本文中包含的財務信息僅基於本新聞稿發佈時可獲得的數據,不能保證未來的任何結果將與本文報道的結果相同或相似。我們不保證從我們認為可靠的第三方來源獲得的信息的準確性或完整性。本新聞稿不包含買賣任何特定證券的建議,也不應被視為任何類型的投資建議。過去的表現不能保證未來的結果,基金產生的投資回報將會波動。不能保證該基金將實現其所宣稱的目標。不能保證基金股票的市場價格,無論是絕對的還是相對於資產淨值的,都會因任何股票回購而上升。在作出任何投資決定時,個人應利用其他資料來源,並徵詢本身專業顧問的意見。

View source version on businesswire.com: https://www.businesswire.com/news/home/20201130005776/en/

在business wire.com上查看源代碼版本:https://www.businesswire.com/news/home/20201130005776/en/

CONTACT: The Korea Fund, Inc.

聯繫人:韓國基金公司

Financial Advisors: (800) 926-4456

財務顧問:(800)926-4456

Shareholders: (800) 254-5197

股東:(800)254-5197

Media Relations: (212) 739-3172

媒體關係部:(212)739-3172

(END) Dow Jones Newswires

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November 30, 2020 16:05 ET (21:05 GMT)

2020年11月30日東部時間16:05(格林尼治標準時間21:05)

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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