Conference Calls Scheduled for Pioneer Investments Closed-End Funds
2014年7月12日 - 2:01AM
ビジネスワイヤ(英語)
Pioneer Investments today announced the dates and times for
conference calls regarding its Closed-End Funds. The purpose of
these calls is to discuss the performance of the funds year-to-date
and their current positioning. The conference call will be open to
the public.
The conference call schedule is as follows:
Pioneer Floating Rate Trust (NYSE: PHD) and Pioneer
Diversified High Income Trust (NYSE MKT: HNW).
The call will be held on Tuesday, July 22, 2014 at 4:15 PM ET
and can be accessed by calling (888)-359-3624. Conference ID
#1068591. A transcript will be posted to us.pioneerinvestments.com.
After being posted, the call will be available on replay for seven
days at (888)-203-1112. Conference ID #1068591.
Pioneer Municipal High Income Advantage Trust (NYSE: MAV) and
Pioneer Municipal High Income Trust (NYSE: MHI).
The call will be held on Wednesday, July 23, 2014 at 4:15 PM ET
and can be accessed by calling (888)-500-6950. Conference ID
#1063918. A transcript will be posted to us.pioneerinvestments.com.
After being posted, the call will be available on replay for seven
days at (888)-203-1112. Conference ID #1063918.
Pioneer High Income Trust (NYSE: PHT)
The call will be held on Thursday, July 24, 2014 at 4:15 PM ET
and can be accessed by calling (888)-504-7963. Conference ID
#9318799. A transcript will be posted to us.pioneerinvestments.com.
After being posted, the call will be available on replay for seven
days at (888)-203-1112. Conference ID #9318799.
Pioneer Investment Management, Inc., the investment advisor for
each of these funds, is part of Pioneer Investment Management USA
Inc., the U.S. subsidiary of Pioneer Global Asset Management
S.p.A.
Closed-end funds, unlike open-end funds, are not continuously
offered. There is a one-time public offering and once issued,
common shares of closed-end funds are sold in the open market
through a stock exchange and frequently trade at prices lower than
their net asset value. Net asset value (NAV) is total assets less
total liabilities divided by the number of common shares
outstanding.
©2014 Pioneer Investment Management, Inc. 60
State Street Boston, MA 02109
Member of the UniCredit Banking Group, Register
of Banking Groups
Pioneer InvestmentsShareholder Inquiries:Please contact your
financial advisor or visit
us.pioneerinvestments.comorBroker/Advisor Inquiries Please
Contact:800-622-9876orMedia Inquiries Please Contact:Geoff Smith,
617-422-4727
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