Partners Value Investments LP Announces Results of Substantial Issuer Bid
01 Dezember 2020 - 11:40PM
Partners Value Investments LP (the “Partnership”, TSXV: PVF.UN
TSXV: PVF.PR.U) announced today the results of its previously
announced substantial issuer bid (the “Offer”) to purchase up to
5,000,000 Class A Preferred Limited Partnership Units, Series 1
(the “Preferred Units”) of the Partnership at a price per Preferred
Unit of US$25.0894 (the “Purchase Price”). The Offer expired at
5:00 pm (Eastern Time) on November 30, 2020. A total of 3,958,203
Preferred Units have been tendered under the Offer.
In accordance with the terms of the Offer, the
Partnership will be taking up 3,958,203 Preferred Units at a price
per Preferred Unit equal to the Purchase Price. Payments will be
made to tendering holders of Preferred Units as soon as
possible.
This press release is for informational purposes
only and does not constitute an offer to buy or a solicitation of
an offer to sell Preferred Units.
For further information, contact Investor
Relations at ir@pvii.ca or 416-956-5142.
Note: This news release contains
“forward-looking information” within the meaning of Canadian
provincial securities laws and “forward-looking statements” within
the meaning of applicable Canadian securities regulations.
Expressions which are predictions of or indicate future events,
trends or prospects and which do not relate to historical matters
identify forward-looking information and
forward-looking statements.
Although the Partnership believes that its
anticipated future results, performance or achievements expressed
or implied by the forward-looking statements and information are
based upon reasonable assumptions and expectations, the reader
should not place undue reliance on forward-looking statements and
information because they involve known and unknown risks,
uncertainties and other factors, many of which are beyond its
control, which may cause the actual results, performance or
achievements of the Partnership to differ materially from
anticipated future results, performance or achievement expressed or
implied by such forward-looking statements and information.
Factors that could cause actual results to
differ materially from those contemplated or implied by
forward-looking statements and information include, but are not
limited to: the financial performance of Brookfield Asset
Management Inc., the impact or unanticipated impact of general
economic, political and market factors; the behavior of financial
markets, including fluctuations in interest and foreign exchanges
rates; global equity and capital markets and the availability of
equity and debt financing and refinancing within these markets;
strategic actions including dispositions; changes in accounting
policies and methods used to report financial condition (including
uncertainties associated with critical accounting assumptions and
estimates); the effect of applying future accounting changes;
business competition; operational and reputational risks;
technological change; changes in government regulation and
legislation; changes in tax laws, catastrophic events, such as
earthquakes and hurricanes; the possible impact of international
conflicts and other developments including terrorist acts; and
other risks and factors detailed from time to time in the
Partnership’s documents filed with the securities regulators in
Canada.
The Partnership cautions that the foregoing list
of important factors that may affect future results is not
exhaustive. When relying on the Partnership’s forward-looking
statements and information, investors and others should carefully
consider the foregoing factors and other uncertainties and
potential events. Except as required by law, the Partnership
undertakes no obligation to publicly update or revise any
forward-looking statements and information, whether written or
oral, that may be as a result of new information, future events or
otherwise.
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