First Trust Value Line(R) 100 Fund Declares Final Distribution Totaling $1.055 Per Share
June 05 2007 - 4:13PM
Business Wire
First Trust Value Line� 100 Fund (the �Fund�) (AMEX: FVL) has
declared its final distribution totaling $1.055 per share as
follows: Short-Term Capital Gain $ 0.958� Long-Term Capital Gain �
$ 0.097� Total $ 1.055� This distribution will be made to
shareholders of record of the Fund as of June 8, 2007. This record
date was previously declared in a press release dated May 29, 2007.
The payment date will be June 13, 2007, with an expected
ex-dividend date of June 6, 2007. This distribution will be the
final distribution for the Fund and will be paid in cash rather
than reinvested. As approved by the Fund�s shareholders at a
Special Meeting of Shareholders held on May 17, 2007, the Fund will
reorganize with and into First Trust Value Line� 100
Exchange-Traded Fund (�FVLEF�), an exchange-traded fund that is a
series of First Trust Exchange-Traded Fund. It is anticipated that
the Fund will cease trading on the AMEX on Friday, June 15, 2007
and FVLEF will begin trading on the AMEX on Monday, June 18, 2007
under the �FVL� ticker symbol. The Fund is a diversified closed-end
management investment company. The Fund�s investment objective is
to provide capital appreciation. It seeks to outperform the
Standard & Poor�s 500 Composite Stock Price Index by investing
in a diversified portfolio of the 100 common stocks ranked #1 in
Value Line�s� TimelinessTM Ranking System. First Trust Advisors
L.P. is the Fund�s investment advisor and currently manages or
supervises approximately $32 billion in assets. Past performance is
no assurance of future results. Investment return and market value
of an investment in the Fund will fluctuate. Shares, when sold, may
be worth more or less than their original cost. Principal Risk
Factors: The Fund invests principally in equity securities and the
Fund�s NAV will fluctuate with changes in the value of the Fund�s
holdings. The types of stocks that are selected through application
of the Fund�s investment strategy can be expected to change over
time. Particular risks may be elevated during periods in which the
Fund�s investment strategy dictates higher levels of investment in
particular types of stocks. Please see the Fund�s prospectus for
additional information on the risks of investing in the Fund. The
Fund�s daily American Stock Exchange closing price and net asset
value per share as well as other information can be found at
www.ftportfolios.com or by calling 1-800-988-5891.
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