share_log

The India Fund, Inc. Announces Rights Offering

The India Fund, Inc. Announces Rights Offering

印度基金公司宣布供股
Accesswire ·  04/08 08:17

PHILADELPHIA, PA / ACCESSWIRE / April 8, 2024 / The Board of Directors (the "Board") of The India Fund, Inc. (NYSE:IFN) (the "Fund"), a closed-end fund, has approved the terms of the issuance of transferable rights ("Rights") to the holders of the Fund's common stock (the "Common Stockholders") of beneficial interest ("Common Stock") as of the record date, entitling the holders of those Rights to subscribe for Common Stock (the "Offer"). The Board, based on the recommendations and presentations of abrdn Asia Limited, the Fund's investment manager (the "Manager"), and others, has determined that it is in the best interests of the Fund and the Common Stockholders to conduct the Offer and seek to increase the assets of the Fund available for investment to take advantage of existing and future investment opportunities that are or may become available. The Offer seeks to provide an opportunity to existing Common Stockholders to purchase Common Stock at a discount to market price (subject to a sales load).

宾夕法尼亚州费城/ACCESSWIRE/2024年4月8日/封闭式基金印度基金公司(纽约证券交易所代码:IFN)(“基金”)董事会(“董事会”)已批准了截至记录在案的向该基金普通股(“普通股股东”)持有人(“普通股”)发行可转让权(“权利”)的条款日期,使这些权利的持有人有权认购普通股(“要约”)。根据abrdn Asia Limited、基金的投资经理(“管理人”)等人的建议和陈述,董事会已确定,进行本次要约并寻求增加可供投资的基金资产,以利用现有和可能出现的现有和未来投资机会,符合基金和普通股股东的最大利益。该要约旨在为现有普通股股东提供以市价折扣(视销售量而定)购买普通股的机会。

The Fund will distribute to Common Stockholders of record as of the record date ("Record Date Stockholders"), which is currently anticipated to be April 18, 2024 (the "Record Date"), one Right for each share of Common Stock held on the Record Date. Record Date Stockholders will be entitled to purchase one new share of Common Stock for every three Rights held (1 for 3); however, any Common Stockholder who owns fewer than three shares of Common Stock as of the Record Date will be entitled to subscribe for one share of Common Stock. Fractional shares of Common Stock will not be issued.

该基金将向截至记录日期(“记录日股东”)(目前预计为2024年4月18日(“记录日期”)的登记在册的普通股股东分配在记录日持有的每股普通股一份权利。记录日期股东每持有三股权利(1比3),有权购买一股新普通股;但是,截至记录日拥有少于三股普通股的任何普通股股东都有权认购一股普通股。普通股的部分股票将不会发行。

The proposed subscription period is currently anticipated to commence on the Record Date and expire on May 14, 2024, unless extended by the Fund (the "Expiration Date"). The Rights are transferable and are expected to be admitted for trading on the New York Stock Exchange (the "NYSE") under the symbol "IFN RT" during the course of the Offer. Rights may be exercised at any time during the subscription period.

除非基金延期(“到期日”),否则拟议的认购期目前预计将从记录日开始,并于2024年5月14日到期。权利是可转让的,预计将在要约期间获准在纽约证券交易所(“NYSE”)上市,股票代码为 “IFN RT”。在订阅期内可以随时行使权利。

The subscription price per share of Common Stock (the "Subscription Price") will be determined on the Expiration Date and will be based upon a formula equal to 92.5% of the average of the last reported sales price of a share of Common Stock on the NYSE on the Expiration Date and each of the four (4) immediately preceding trading days (the "Formula Price"). If, however, the Formula Price is less than 93% of the Fund's net asset value ("NAV") per share of Common Stock at the close of trading on the NYSE on the Expiration Date, the Subscription Price will be 93% of the Fund's NAV per share of Common Stock at the close of trading on the NYSE on that day. The estimated Subscription Price has not yet been determined by the Fund.

普通股的每股认购价格(“认购价格”)将在到期日确定,其公式等于纽约证券交易所上次公布的普通股在到期日和前四(4)个交易日(“公式价格”)平均价格的92.5%。但是,如果公式价格低于纽约证券交易所到期日收盘时基金普通股每股净资产价值(“NAV”)的93%,则认购价格将为当天纽约证券交易所收盘时该基金普通股每股资产净值的93%。预计的认购价格尚未由基金确定。

Record Date Stockholders who exercise all their Rights will be eligible for an over-subscription privilege entitling Record Date Stockholders to subscribe, subject to certain limitations and allotment, for any additional shares of Common Stock not purchased pursuant to the primary subscription.

记录日期行使所有权利的股东将有资格获得超额认购特权,该特权使记录日期股东有权在遵守某些限制和配股的前提下认购未根据主要认购购买的任何其他普通股。

The Offer will be made pursuant to the Fund's currently effective shelf registration statement on file with the Securities and Exchange Commission ("SEC") and by means of a prospectus supplement and accompanying prospectus. A final prospectus supplement and accompanying prospectus will be filed with the SEC but has not been filed as of the date of this release. The Fund expects to mail subscription certificates evidencing the Rights and a copy of the prospectus for the Offer to Record Date Stockholders within the United States shortly following the Record Date. To exercise their Rights, Common Stockholders who hold their Common Stock through a broker, custodian, or trust company, should contact such entity to forward their instructions to either exercise or sell their Rights on their behalf. Common Stockholders who do not hold Common Stock through a broker, custodian, or trust company, should forward their instructions to either exercise or sell their Rights by completing the subscription certificate and delivering it to the subscription agent for the Offer, together with their payment, at one of the locations indicated on the subscription certificate or in the prospectus supplement.

本次要约将根据基金目前向美国证券交易委员会(“SEC”)存档的有效货架注册声明,并通过招股说明书补充文件和随附的招股说明书提出。最终的招股说明书补充文件和随附的招股说明书将提交给美国证券交易委员会,但截至本新闻稿发布之日尚未提交。该基金预计将在记录日之后不久向美国境内的股东邮寄证明权利的认购证书和招股说明书副本。为了行使权利,通过经纪商、托管人或信托公司持有普通股的普通股股东应联系此类实体,转达他们代表他们行使或出售权利的指示。不通过经纪商、托管人或信托公司持有普通股的普通股股东应在认购证书或招股说明书补充文件中注明的地点之一将订阅证书连同付款一起交给要约的订阅代理人,从而发出行使或出售其权利的指示。

* * *

* *

The Fund is a non-diversified, closed-end management investment company. The Fund's primary investment objective is long-term capital appreciation, which it seeks to achieve by investing primarily in the equity securities of Indian companies. Depending on current market conditions and the Fund's outlook over time, the Fund seeks to achieve its investment objectives by opportunistically investing at least 80% of its total assets in equity securities. Shares of closed-end funds frequently trade at a discount to NAV. The price of the Common Stock is determined by a number of factors, many of which are beyond the control of the Fund.

该基金是一家非多元化的封闭式管理投资公司。该基金的主要投资目标是长期资本增值,它力求通过主要投资印度公司的股票证券来实现长期资本增值。根据当前的市场状况和基金一段时间内的展望,该基金力求通过机会性地将其总资产的至少80%投资于股票证券来实现其投资目标。封闭式基金股票的交易价格通常低于资产净值。普通股的价格由多种因素决定,其中许多因素是基金无法控制的。

The Fund is managed and advised by abrdn Asia Limited. The Common Stock trades on the NYSE under the symbol "IFN".

该基金由abrdn Asia Limited管理和提供咨询。普通股在纽约证券交易所上市,股票代码为 “IFN”。

In the United States, abrdn is the marketing name for the following affiliated, registered investment advisers: abrdn Inc., abrdn Investments Limited, abrdn Asia Limited, abrdn Private Equity (Europe) Limited and abrdn ETFs Advisors LLC.

在美国,abrdn是以下附属注册投资顾问的市场名称:abrdn Inc.、abrdn Investments Limited、abrdn Asia Limited、abrdn Private Equity(欧洲)有限公司和abrdn ETFs Advisors LLC。

Closed-end funds are traded on the secondary market through one of the stock exchanges. The Fund's investment return and principal value will fluctuate so that an investor's shares of Common Stock may be worth more or less than the original cost. Shares of closed-end funds may trade above (a premium) or below (a discount) the NAV of the fund's portfolio. There is no assurance that the Fund will achieve its investment objective. Past performance does not guarantee future results.

封闭式基金通过其中一个证券交易所在二级市场上交易。该基金的投资回报率和本金价值将波动,因此投资者的普通股价值可能高于或低于原始成本。封闭式基金股票的交易价格可能高于(溢价)或低于(折扣)该基金投资组合的资产净值。无法保证该基金将实现其投资目标。过去的表现并不能保证未来的业绩。

Investors should consider the Fund's investment objective, risks, charges, and expenses carefully before investing. There is no assurance that the Fund will achieve its investment objective. For further information regarding the Offer, or to obtain a prospectus supplement and accompanying prospectus, when available, please visit the website maintained by the SEC at www.sec.gov or contact the Fund's Information Agent:

投资者在投资前应仔细考虑基金的投资目标、风险、费用和开支。无法保证该基金将实现其投资目标。有关本次要约的更多信息,或获取招股说明书补充文件和随附的招股说明书(如果有),请访问美国证券交易委员会维护的网站www.sec.gov或联系基金的信息代理:

Equiniti Group Limited
+1 (866) 521-4429

Equiniti 集团有限公司
+1 (866) 521-4429

The Fund will pay expenses associated with the Offer which will be borne indirectly by the Common Stockholders.

该基金将支付与要约相关的费用,这些费用将由普通股股东间接承担。

The information herein is not complete and is subject to change. This press release shall not constitute an offer to sell or constitute a solicitation of an offer to buy. Investors should read the prospectus supplement and accompanying prospectus, when available, and consider the investment objective, risks, fees, and expenses of the Fund carefully before investing. This press release is not an offer to sell these securities and is not soliciting offers to buy these securities in any jurisdiction where the offer or sale is not permitted.

此处的信息不完整,可能会发生变化。本新闻稿不应构成卖出要约或构成买入要约的邀请。投资者应阅读招股说明书补充文件和随附的招股说明书(如果有),并在投资之前仔细考虑基金的投资目标、风险、费用和支出。本新闻稿不是出售这些证券的提议,也不是在任何不允许要约或出售的司法管辖区征求购买这些证券的要约。

If you wish to receive this information electronically, please contact Investor.Relations@abrdn.com

如果您希望通过电子方式接收这些信息,请联系 Investor.Relations@abrdn.com

abrdnifn.com

abrdnifn.com

# # #

# #

For More Information Contact:

欲了解更多信息,请联系:

abrdn Inc.
abrdn U.S. Closed-End Funds
Investor Relations
1-800-522-5465
Investor.Relations@abrdn.com

abrdn Inc.
bardn 美国封闭式基金
投资者关系
1-800-522-5465
Investor.Relations@abrdn.com

SOURCE: The India Fund, Inc.

来源:印度基金公司


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