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Source: Digital Consumer Dividend Fund

Digital Consumer Dividend Fund Announces Exchange Ratios

CALGARY, Alberta, June 13, 2019 (GLOBE NEWSWIRE) -- Middlefield Group, on behalf of Digital Consumer Dividend Fund (the “Fund”), is pleased to announce the exchange ratios for the exchange offer by the Fund (the "Exchange Option") being made under the final prospectus of the Fund dated May 24, 2019.

The Fund’s investment objectives are to provide holders of units of the Fund (“Units”) with:

  1. stable monthly cash distributions, and
  2. enhanced long-term total return through capital appreciation of the Fund’s investment portfolio;

through a diversified, actively managed portfolio comprised primarily of dividend-paying securities of global issuers focused on, involved in, or that derive a significant portion of their revenue from developing products or services related to digital consumer themes, including streaming, digital content, cybersecurity, social networking, e-commerce and connectivity.

The initial target distribution yield for the Fund is 4% per annum based on the original subscription price (or $0.03333 per Unit per month or $0.40 per Unit per annum).

The number of Units issuable for each class of security of an Exchange Eligible Issuer (as listed below) (the “Exchange Ratio”) has been determined by dividing the weighted average trading price of such security on the Toronto Stock Exchange (or such other exchange or market on which such security is then listed) during the period of five consecutive trading days ending on June 13, 2019 (the “Pricing Period”), as adjusted to reflect distributions declared by any Exchange Eligible Issuer that will not be received by the Fund, by $10.00. The Exchange Ratio for any such securities that do not trade in Canadian dollars was determined by converting the weighted average trading price on the applicable exchange of such securities into Canadian dollars based on today’s Bank of Canada daily exchange rate. Holders of securities of Exchange Eligible Issuers who deposited such securities pursuant to the Exchange Option will continue to be holders of record up to but not including the date of the closing of the offering of Units and will be entitled to receive distributions in respect of such securities of Exchange Eligible Issuers that are declared up to but not including such date. Each Exchange Ratio will be rounded down to five decimal places.

The table below sets out the Exchange Eligible Issuers, the securities of which may be accepted by the Fund pursuant to the Exchange Option, including the name of the Exchange Eligible Issuer, its ticker symbol, its CUSIP number, its ISIN, its volume weighted average trading price during the Pricing Period and the Exchange Ratio.

NameTickerCUSIPISINVWAPExchange
Ratio
Content, Streaming & Connectivity Issuers     
Akamai Technologies Inc.AKAM00971T101US00971T1016105.874810.58747
Alliance Data Systems CorpADS018581108US0185811082184.769518.47695
Apple IncAAPL037833100US0378331005257.433525.74335
Arista Networks Inc.ANET040413106US0404131064325.917732.59176
AT&T Inc.T (NYSE)00206R102US00206R102342.99614.29961
Autodesk Inc.ADSK052769106US0527691069218.910921.89109
BCE Inc.BCE05534B760CA05534B760461.89376.11012
Broadcom Inc.AVGO11135F101US11135F1012372.144436.86135
Broadridge Financial Solutions Inc.BR11133T103US11133T1034175.029117.43829
Cadence Design Systems Inc.CDNS127387108US127387108790.28299.02828
CenturyLink Inc.CTL156700106US156700106014.28131.42813
Corning Inc.GLW219350105US219350105141.36164.13615
Electronic Arts Inc.EA285512109US2855121099126.262512.62624
F5 Networks Inc.FFIV315616102US3156161024190.057319.00572
FleetCor Technologies Inc.FLT339041105US3390411052351.579935.15798
Gartner Inc.IT366651107US3666511072210.302721.03026
Global Payments Inc.GPN37940X102US37940X1028212.745221.27319
HP Inc.HPQ40434L105US40434L105226.49092.64909
Intel CorpINTC458140100US458140100161.92866.19286
International Business Machines CorpIBM459200101US4592001014179.900817.99007
Intuit Inc.INTU461202103US4612021034344.313634.43136
IPG Photonics CorpIPGP44980X109US44980X1090178.684017.86840
Jack Henry & Associates Inc.JKHY426281101US4262811015182.796818.27967
Juniper Networks Inc.JNPR48203R104US48203R104135.81523.58151
Madison Square Garden Co/TheMSG55825T103US55825T1034389.430038.94300
Manchester United PlcMANUn/aKYG5784H106523.92402.39240
Motorola Solutions Inc.MSI620076307US6200763075214.939321.41798
NetApp Inc.NTAP64110D104US64110D104682.49388.24938
Netflix Inc.NFLX64110L106US64110L1061469.148246.91481
Paychex Inc.PAYX704326107US7043261079116.456711.64566
QUALCOMM Inc.QCOM747525103US747525103693.34299.33428
Rogers Communication, Inc.RCI/B775109200CA775109200770.57367.05736
Seagate Technology PLCSTXn/aIE00B58JVZ5258.67365.78341
Shaw Communication, Inc.SJR/B82028K200CA82028K200227.54832.74495
Synopsys Inc.SNPS871607107US8716071076167.369216.73691
TELUS CorpT (TSX)87971M103CA87971M103249.73244.97324
Texas Instruments Inc.TXN882508104US8825081040148.914614.89146
T-Mobile US Inc.TMUS872590104US8725901040100.813810.08137
Total System Services Inc.TSS891906109US8919061098170.763217.05899
Verizon Communications Inc.VZ92343V104US92343V104475.98667.59866
Walt Disney Co/TheDIS254687106US2546871060184.163918.41639
Western Digital CorpWDC958102105US958102105549.71304.97130
Western Union Co/TheWU959802109US959802109826.72262.64561
Xerox CorpXRX984121608US984121608146.40224.64021
      
Cybersecurity, Social Networks & E-Commerce Issuers     
Alibaba Group Holding LtdBABA01609W102US01609W1027212.982121.29821
Amazon.com IncAMZN023135106US02313510672462.0551246.20550
Bank of Nova Scotia/TheBNS064149107CA064149107570.50177.05017
Cisco Systems IncCSCO17275R102US17275R102375.14797.51478
Citrix Systems IncCTXS177376100US1773761002128.327812.83278
Dream Industrial REITDIR-U26153W109CA26153W109512.09241.20924
Facebook IncFB30303M102US30303M1027233.978023.39779
Fortinet IncFTNT34959E109US34959E1091100.654210.06541
Granite REITGRT-U387437114CA387437114761.34206.13420
Hewlett Packard Enterprise CoHPE42824C109US42824C109918.92981.89298
Loblaw Cos LtdL539481101CA539481101570.06636.97513
Macy's IncM55616P104US55616P104928.44342.79404
Microsoft CorpMSFT594918104US5949181045175.856017.58560
National Bank of CanadaNA633067103CA633067103461.65856.09785
Oracle CorpORCL68389X105US68389X105471.62767.16275
Royal Bank of CanadaRY780087102CA7800871021103.040910.30409
Shopify IncSHOP82509L107CA82509L1076408.248740.82487
Snap IncSNAP83304A106US83304A106018.47001.84699
Splunk IncSPLK848637104US8486371045155.114815.51148
Summit Industrial Income REITSMU-U866120116CA866120116712.95641.29564
Symantec CorpSYMC871503108US871503108925.42332.54232
Tencent Holdings LtdTCEHY88032Q109US88032Q109457.72045.77203
Toronto-Dominion Bank/TheTD891160509CA891160509275.42077.54207
Twitter IncTWTR90184L102US90184L102649.53464.95346
Visa IncV92826C839US92826C8394227.165922.71659
Walmart IncWMT931142103US9311421039143.426114.34260
Williams-Sonoma IncWSM969904101US969904101178.26337.82633
WPT Industrial REITWIR/U92937G109CA92937G109013.69941.36994
      
Other Issuers     
Ag Growth International IncAFN001181106CA001181106853.57655.35765
Alaris Royalty CorpAD01163Q400CA01163Q400718.72591.87259
Alimentation Couche-Tard IncATD.B01626P403CA01626P403386.47378.64737
ARC Resources LtdARX00208D408CA00208D40846.83160.68316
Barrick Gold CorpABX067901108CA067901108418.09561.80956
Bonavista Energy CorpBNP09784Y108CA09784Y10880.49000.04900
Bristol-Myers Squibb CoBMY110122108US110122108362.47896.24789
Brookfield Renewable Partners LPBEP-Un/aBMG16258108344.70224.47022
Cardinal Health IncCAH14149Y108US14149Y108259.24575.92456
CI Financial CorpCIX125491100CA125491100321.09412.10941
Cineplex IncCGX172454100CA172454100023.64452.36445
Crescent Point Energy CorpCPG22576C101CA22576C10144.06430.40543
CVS Health CorpCVS126650100US126650100672.24347.22433
Edwards Lifesciences CorpEW28176E108US28176E1082245.920024.59200
Extendicare IncEXE30224T863CA30224T86398.34020.83402
Fiserv IncFISV337738108US3377381088119.586611.95866
Franco-Nevada CorpFNV351858105CA3518581051102.837610.28376
Great-West Lifeco IncGWO39138C106CA39138C106830.48363.04836
iShares Core S&P 500 Index ETF CAD- HedgedXSP46428J105CA46428J105732.26343.20174
iShares S&P/TSX Capped Information Technology Index ETFXIT46428N106CA46428N106925.88972.57937
Kraft Heinz Co/TheKHC500754106US500754106439.96633.99662
Manulife Financial CorpMFC56501R106CA56501R106423.43852.34385
Mosaic Co/TheMOS61945C103US61945C103629.86052.98605
Power Financial CorpPWF73927C100CA73927C100530.03223.00322
RioCan Real Estate Investment TrustREI.UN766910103CA766910103126.69762.66976
SNC-Lavalin Group IncSNC78460T105CA78460T105725.38332.53833
Sun Life Financial IncSLF866796105CA866796105353.09525.30952
Walgreens Boots Alliance IncWBA931427108US931427108469.79876.97987

The syndicate of agents is being co-led by CIBC Capital Markets and RBC Capital Markets, and includes BMO Capital Markets, Scotiabank, TD Securities Inc., Canaccord Genuity Corp., Industrial Alliance Securities, National Bank Financial Inc., GMP Securities L.P., Manulife Securities Incorporated, Raymond James Ltd., Middlefield Capital Corporation, Desjardins Securities Inc. and Mackie Research Capital Corporation.

For further information, please visit our website at www.middlefield.com or contact Nancy Tham or Michael Bury in our Sales and Marketing Department at 1.888.890.1868.

This offering is only made by prospectus.  The prospectus contains important detailed information about the securities being offered.  Copies of the prospectus may be obtained from your IIROC registered financial advisor using the contact information for such advisor.  Investors should read the prospectus before making an investment decision.