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THE SWISS HELVETIA FUND, INC. DECLARES QUARTERLY DISTRIBUTION OF $0.129 PER SHARE

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The Swiss Helvetia Fund, Inc. (NYSE: SWZ) has declared a quarterly distribution of $0.129 per share under its managed distribution plan. Key dates include:

  • Record Date: September 19, 2024
  • Ex-Dividend Date: September 19, 2024
  • Payment Date: September 30, 2024

The plan aims to provide stockholders with a consistent, fixed minimum rate of distribution quarterly. This $0.129 per share distribution equates to an annualized distribution rate of 6.00% based on the Fund's net asset value as of October 31, 2023. Distributions may include net investment income, capital gains, and return of capital. The Board will review the plan annually and may adjust the distribution rate based on various factors.

Il Swiss Helvetia Fund, Inc. (NYSE: SWZ) ha dichiarato una distribuzione trimestrale di $0.129 per azione nell'ambito del suo piano di distribuzione gestita. Le date chiave includono:

  • Data di Registrazione: 19 settembre 2024
  • Data di Ex-Dividendo: 19 settembre 2024
  • Data di Pagamento: 30 settembre 2024

Il piano mira a fornire agli azionisti un tasso di distribuzione minimo fisso e coerente su base trimestrale. Questa distribuzione di $0.129 per azione corrisponde a un tasso di distribuzione annualizzato del 6.00% basato sul valore netto delle attività del Fondo al 31 ottobre 2023. Le distribuzioni possono includere proventi da investimenti netti, guadagni di capitale e restituzione di capitale. Il Consiglio esaminerà il piano annualmente e potrà modificare il tasso di distribuzione in base a vari fattori.

El Swiss Helvetia Fund, Inc. (NYSE: SWZ) ha declarado una distribución trimestral de $0.129 por acción bajo su plan de distribución gestionado. Las fechas clave incluyen:

  • Fecha de Registro: 19 de septiembre de 2024
  • Fecha Ex-Dividendo: 19 de septiembre de 2024
  • Fecha de Pago: 30 de septiembre de 2024

El plan tiene como objetivo proporcionar a los accionistas un tasa de distribución mínima fija y consistente cada trimestre. Esta distribución de $0.129 por acción equivale a un tasa de distribución anualizada del 6.00% basado en el valor neto de los activos del Fondo al 31 de octubre de 2023. Las distribuciones pueden incluir ingresos netos de inversiones, ganancias de capital y devolución de capital. La Junta revisará el plan anualmente y podrá ajustar la tasa de distribución según varios factores.

스위스 헬베티아 펀드, Inc. (NYSE: SWZ)는 관리 배당 계획에 따라 주당 $0.129의 분기 배당금을 선언했습니다. 주요 날짜는 다음과 같습니다:

  • 기록일: 2024년 9월 19일
  • 배당락일: 2024년 9월 19일
  • 지급일: 2024년 9월 30일

이 계획은 주주에게 매 분기 일관된 고정 최소 배당률을 제공하는 것을 목표로 합니다. 이 주당 $0.129의 배당금은 2023년 10월 31일 기준으로 펀드의 순자산가치에 따라 연환산 배당률 6.00%에 해당합니다. 배당금에는 순 투자 소득, 자본 이익 및 자본 환급이 포함될 수 있습니다. 이사회는 매년 이 계획을 검토하며 다양한 요소에 따라 배당률을 조정할 수 있습니다.

Le Swiss Helvetia Fund, Inc. (NYSE: SWZ) a déclaré une distribution trimestrielle de 0,129 $ par action dans le cadre de son plan de distribution géré. Les dates clés comprennent :

  • Date d'enregistrement : 19 septembre 2024
  • Date ex-dividende : 19 septembre 2024
  • Date de paiement : 30 septembre 2024

Le plan vise à fournir aux actionnaires un taux de distribution minimum fixe et constant chaque trimestre. Cette distribution de 0,129 $ par action équivaut à un taux de distribution annualisé de 6,00 % basé sur la valeur nette d'actifs du Fonds au 31 octobre 2023. Les distributions peuvent inclure des revenus nets d'investissement, des gains en capital et un retour de capital. Le Conseil examinera le plan chaque année et pourra ajuster le taux de distribution en fonction de divers facteurs.

Der Swiss Helvetia Fund, Inc. (NYSE: SWZ) hat eine vierteljährliche Ausschüttung von 0,129 $ pro Aktie im Rahmen seines verwalteten Ausschüttungsplans bekannt gegeben. Wichtige Daten sind:

  • Stichtag: 19. September 2024
  • Ex-Dividende-Datum: 19. September 2024
  • Zahlungsdatum: 30. September 2024

Der Plan zielt darauf ab, den Aktionären vierteljährlich eine konsistente, feste Mindestausschüttungsquote bereitzustellen. Diese Ausschüttung von 0,129 $ pro Aktie entspricht einem annualisierten Ausschüttungszins von 6,00% basierend auf dem Nettovermögenswert des Fonds zum 31. Oktober 2023. Die Ausschüttungen können aus Nettokapitalerträgen, Kapitalgewinnen und Rückzahlungen des Kapitals bestehen. Der Vorstand wird den Plan jährlich überprüfen und kann den Ausschüttungszins auf der Grundlage verschiedener Faktoren anpassen.

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NEW YORK, Sept. 6, 2024 /PRNewswire/ -- The Swiss Helvetia Fund, Inc. (NYSE: SWZ), a non-diversified registered closed-end investment company (the "Fund"), announced today a quarterly distribution of $0.129 per share of the Fund's common stock pursuant to the Fund's managed distribution plan (the "Plan"). The distribution is subject to the following record, ex-dividend and payment dates:

Record Date:
Ex-Dividend Date:
Payment Date:

September 19, 2024
September 19, 2024
September 30, 2024

Pursuant to the Plan, the Fund's Board of Directors has approved the quarterly distribution of a fixed amount of $0.129 per share of the Fund's common stock. The primary purpose of the Plan is to provide the Fund's stockholders with a more consistent, but not guaranteed, fixed minimum rate of distribution on a regular quarterly basis. The Plan also may have the effect of narrowing the discount to net asset value per share at which the Fund's shares trade.

Distributions under the Plan may consist of net investment income, net realized short-term and long-term capital gains, and to the extent necessary, return of capital (or other capital sources). With each distribution that does not consist solely of net investment income, the Fund will issue a notice to stockholders and an accompanying press release that will provide detailed information regarding the amount and composition of the distribution, as well as certain other related information. The Fund expects to issue any such notice and press release on or about the distribution payment date.

The amounts and sources of distributions reported in each notice will be estimated, are likely to change over time and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for accounting and tax reporting purposes will depend upon the Fund's investment experience during its full fiscal year and may be subject to changes based on tax regulations. The Fund will send each stockholder a Form 1099-DIV for the calendar year that will inform stockholders how to report distributions for federal income tax purposes.

The current distribution amount of $0.129 per share of the Fund's common stock equates to an annualized distribution rate of 6.00% based on the Fund's net asset value per share or NAV as of October 31, 2023. The annualized rate is expected to change over time as the Fund's NAV varies. The Board will review at least annually the terms of the Plan to determine whether to adjust the amount or the calculation of the distribution rate, which may be affected by numerous factors, including changes in realized and projected market returns, Fund performance and other factors. The Board may amend the terms of the Plan or terminate the Plan at any time without prior notice to the Fund's stockholders. The amendment or termination of the Plan could have an adverse effect on the market price of the Fund's common stock.

Unless a stockholder has otherwise elected, distributions declared pursuant to the Plan will be reinvested automatically in shares of the Fund's common stock as provided in the Fund's automatic dividend reinvestment plan.

About The Swiss Helvetia Fund, Inc.

The Fund (www.swzfund.com) is a non-diversified, closed-end investment company seeking long-term capital appreciation through investment in equity and equity-linked securities of Swiss companies. Its shares are listed on the NYSE under the symbol "SWZ." The Fund seeks to achieve its investment objective by investing generally in Swiss equity and equity-linked securities that are traded on a Swiss stock exchange, traded at the pre-bourse level of one or more Swiss stock exchanges, traded through a market maker or traded over the counter in Switzerland. The Fund also may invest in Swiss equity and equity-linked securities of Swiss companies that are traded on other major European stock exchanges.

Closed-end funds, unlike open-end funds, are not continuously offered. Typically, shares of closed-end funds are sold in the open market through a stock exchange. Shares of closed-end funds frequently trade at a discount to net asset value. The price of the Fund's shares is determined by a number of factors, several of which are beyond the control of the Fund. Therefore, the Fund cannot predict whether its shares will trade at, below or above net asset value.

The Fund is managed by Schroder Investment Management North America Inc.

About Schroder Investment Management North America Inc.

Schroder Investment Management North America Inc. and Schroder Investment Management North America Limited, investment advisors registered with the U.S. SEC, are units of Schroders plc (SDR.L), a global asset management company with approximately $956.9 billion in assets under management as of December 31, 2023. Schroder's clients include major financial institutions including banks and insurance companies, as well as local and public authorities, public and private pension funds, endowments and foundations, intermediaries and advisors, as well as high net worth individuals and retail investors. The firm has built one of the largest networks of offices of any dedicated asset management company with more than 500 portfolio managers and analysts covering the world's investment markets, offering a comprehensive range of products and services.

Schroder Investment Management North America Inc. provides asset management products and services to clients in the U.S. and Canada. Schroder Investment Management North America Inc. is an indirect, wholly-owned subsidiary of Schroders plc, a U.K. public company with shares listed on the London Stock Exchange.

This press release shall not constitute an offer to sell or a solicitation to buy, nor shall there be any sale of the Fund's shares in any state or jurisdiction in which such offer or solicitation or sale would be unlawful prior to registration or qualification under the laws of such state or jurisdiction.

Contact: 
Jennifer Brogadir
212-641-3863

Cision View original content:https://www.prnewswire.com/news-releases/the-swiss-helvetia-fund-inc-declares-quarterly-distribution-of-0-129-per-share-302240981.html

SOURCE The Swiss Helvetia Fund, Inc.

FAQ

What is the quarterly distribution amount for Swiss Helvetia Fund (SWZ) in September 2024?

The Swiss Helvetia Fund (SWZ) has declared a quarterly distribution of $0.129 per share for September 2024.

When is the payment date for SWZ's September 2024 distribution?

The payment date for Swiss Helvetia Fund's (SWZ) September 2024 distribution is September 30, 2024.

What is the annualized distribution rate for SWZ based on its October 31, 2023 NAV?

The annualized distribution rate for Swiss Helvetia Fund (SWZ) is 6.00% based on its net asset value as of October 31, 2023.

How often does Swiss Helvetia Fund (SWZ) review its managed distribution plan?

The Swiss Helvetia Fund's (SWZ) Board reviews the terms of the managed distribution plan at least annually.

What types of income may be included in SWZ's distributions?

Swiss Helvetia Fund's (SWZ) distributions may consist of net investment income, net realized short-term and long-term capital gains, and return of capital if necessary.

Swiss Helvetia Fund, Inc.

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