CORRECTION FROM SOURCE: BlackRock Announces Revised Estimated Annual Reinvested Distributions for the iShares(R) Funds
December 17 2010 - 4:09PM
Marketwired
A correction from source is being issued with respect to the
BlackRock Asset Management Canada Limited release that was issued
December 17th, 2010 at 13:39 ET. The fund name under the symbol XTR
was called iShares S&P/TSX Income Trust Index Fund but should
have been iShares Diversified Monthly Income Fund. The correct
version follows:
(TSX: XAL)(TSX: XBB)(TSX: XBZ)(TSX: XCB)(TSX: XCG)(TSX:
XCH)(TSX: XCR)(TSX: XCS)(TSX: XCV)(TSX: XDV)(TSX: XEG)(TSX:
XEM)(TSX: XEN)(TSX: XFN)(TSX: XGB)(TSX: XGC)(TSX: XGD)(TSX:
XGR)(TSX: XHB)(TSX: XHY)(TSX: XIC)(TSX: XID)(TSX: XIG)(TSX:
XIN)(TSX: XIT)(TSX: XIU)(TSX: XLA)(TSX: XLB)(TSX: XMA)(TSX:
XMD)(TSX: XPF)(TSX: XRB)(TSX: XRE)(TSX: XSB)(TSX: XSP)(TSX:
XSU)(TSX: XTR)(TSX: XWD)
BlackRock Asset Management Canada Limited announces today the
revised estimated annual reinvested distributions for the iShares
exchange-traded funds for the 2010 tax year. These annual
reinvested distributions generally represent realized capital gains
within the funds. The reinvested distributions are not paid in cash
but will be reported as taxable distributions and can be used to
increase the investor's adjusted cost base of the fund. These
estimated reinvested distributions do not include the fourth
quarter cash distributions which are reported in a separate press
release. These estimates replace the previous estimates issued in a
press release dated November 18, 2010.
Unitholders of record on December 30, 2010 will receive
reinvested distributions payable on December 31, 2010. The
ex-dividend date will be December 24, 2010. The actual taxable
amounts of reinvested and cash distributions for 2010, including
the tax characteristics of the distributions, will be reported to
brokers (through CDS Clearing and Depository Services Inc.) early
in 2011.
The following chart shows the estimated annual reinvested
distributions per unit for each of the iShares funds.
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Estimated
Reinvested Percent of
Distribution December 15,
Per Unit to Dec 2010 NAV per
Fund Name Fund Ticker 15, 2010 ($) unit
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iShares Alternatives
Completion Portfolio
Builder Fund XAL 0.54409 2.20%
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iShares DEX Universe Bond
Index Fund XBB 0.02433 0.08%
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iShares MSCI Brazil Index
Fund XBZ - 0.00%
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iShares DEX All Corporate
Bond Index Fund XCB 0.27896 1.37%
----------------------------------------------------------------------------
iShares Dow Jones Canada
Select Growth Index Fund XCG - 0.00%
----------------------------------------------------------------------------
iShares China Index Fund XCH - 0.00%
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iShares Conservative Core
Portfolio Builder Fund XCR 0.51478 2.31%
----------------------------------------------------------------------------
iShares S&P®/TSX®
SmallCap Index Fund XCS 0.74867 4.11%
----------------------------------------------------------------------------
iShares Dow Jones Canada
Select Value Index Fund XCV 0.10756 0.52%
----------------------------------------------------------------------------
iShares Dow Jones Canada
Select Dividend Index
Fund XDV - 0.00%
----------------------------------------------------------------------------
iShares S&P/TSX Capped
Energy Index Fund XEG - 0.00%
----------------------------------------------------------------------------
iShares MSCI Emerging
Markets Index Fund XEM 0.00190 0.01%
----------------------------------------------------------------------------
iShares Jantzi Social
Index Fund XEN - 0.00%
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iShares S&P/TSX Capped
Financials Index Fund XFN 0.02681 0.12%
----------------------------------------------------------------------------
iShares DEX All
Government Bond Index
Fund XGB 0.04154 0.20%
----------------------------------------------------------------------------
iShares Global Completion
Portfolio Builder Fund XGC 0.17425 0.73%
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iShares S&P/TSX Global
Gold Index Fund XGD 0.56693 2.17%
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iShares Growth Core
Portfolio Builder Fund XGR 0.46390 1.95%
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iShares DEX HYBrid Bond
Index Fund XHB - 0.00%
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iShares U.S. High Yield
Bond Index Fund (CAD-
Hedged) XHY 0.38348 1.88%
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iShares S&P/TSX Capped
Composite Index Fund XIC - 0.00%
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iShares S&P CNX Nifty
India Index Fund XID - 0.00%
----------------------------------------------------------------------------
iShares U.S. IG Corporate
Bond Index Fund XIG 0.70040 3.45%
----------------------------------------------------------------------------
iShares MSCI EAFE Index
Fund (CAD-Hedged) XIN - 0.00%
----------------------------------------------------------------------------
iShares S&P/TSX Capped
Information Technology
Index Fund XIT - 0.00%
----------------------------------------------------------------------------
iShares S&P/TSX 60 Index
Fund XIU - 0.00%
----------------------------------------------------------------------------
iShares S&P Latin America
40 Index Fund XLA - 0.00%
----------------------------------------------------------------------------
iShares DEX Long Term
Bond Index Fund XLB - 0.00%
----------------------------------------------------------------------------
iShares S&P/TSX Capped
Materials Index Fund XMA - 0.00%
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iShares S&P/TSX
Completion Index Fund XMD - 0.00%
----------------------------------------------------------------------------
iShares S&P/TSX North
American Preferred Stock
Index Fund (CAD-Hedged) XPF - 0.00%
----------------------------------------------------------------------------
iShares DEX Real Return
Bond Index Fund XRB 0.42108 1.96%
----------------------------------------------------------------------------
iShares S&P/TSX Capped
REIT Index Fund XRE - 0.00%
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iShares DEX Short Term
Bond Index Fund XSB - 0.00%
----------------------------------------------------------------------------
iShares S&P 500 Index
Fund (CAD-Hedged) XSP 0.32207 2.26%
----------------------------------------------------------------------------
iShares Russell 2000®
Index Fund (CAD-Hedged) XSU - 0.00%
----------------------------------------------------------------------------
iShares Diversified
Monthly Income Fund XTR - 0.00%
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iShares MSCI World Index
Fund XWD 0.00559 0.02%
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Further information on iShares funds can be found at
www.iShares.ca.
Possible changes to reinvested distribution per unit amounts
The amounts shown above could change if the iShares funds
experience subscriptions or redemptions prior to the December 24,
2010 ex-dividend date. BlackRock Asset Management Canada Limited
will issue a final press release on December 24, 2010 which will
provide the final amounts.
About BlackRock
BlackRock is a leader in investment management, risk management
and advisory services for institutional and retail clients
worldwide. At September 30, 2010, BlackRock's AUM was $3.446
trillion. BlackRock offers products that span the risk spectrum to
meet clients' needs, including active, enhanced and index
strategies across markets and asset classes. Products are offered
in a variety of structures including separate accounts, mutual
funds, iShares® (exchange traded funds), and other pooled
investment vehicles. BlackRock also offers risk management,
advisory and enterprise investment system services to a broad base
of institutional investors through BlackRock Solutions™.
Headquartered in New York City, as of September 30, 2010, the firm
has approximately 8,900 employees in 24 countries and a major
presence in key global markets, including North and South America,
Europe, Asia, Australia and the Middle East and Africa. For
additional information, please visit the Company's website at
www.blackrock.com.
About iShares ETFs
The iShares business is a global product leader in ETFs with
over 410 funds globally across equities, fixed income and
commodities, which trade on 16 exchanges worldwide. The iShares
funds are bought and sold like common stocks on securities
exchanges. The iShares funds are attractive to many individual and
institutional investors and financial intermediaries because of
their relative low cost, tax efficiency and trading flexibility.
Investors can purchase and sell securities through any brokerage
firm, financial advisor, or online broker, and hold the funds in
any type of brokerage account. The iShares customer base consists
of the institutional segment of pension plans and fund managers, as
well as the retail segment of financial advisors.
Contacts: Contact for Media: Veritas Communications Pat Bolland
416-640-3306 or Cell: 416-804-7555 bolland@veritascanada.com
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