|
||||
NEWS RELEASE FOR IMMEDIATE RELEASE DATE:
TUESDAY, JULY 1, 2003 BLUE CHIP
VALUE FUND DECLARES SECOND QUARTER DISTRIBUTION
DENVER,
CO. (July 1, 2003) The Directors of Blue Chip Value Fund, Inc. have declared a
distribution of $0.13 per share. This
distribution is payable July 25, 2003, to stockholders of record July
11, 2003, and will have an ex-dividend date of July 9, 2003. The Fund pays a quarterly distribution equal to 2.5% of its
Net Asset Value, rounded to the nearest penny. Of
the total distribution, approximately $0.0023 represents net investment
income and the remaining undesignated portion is paid from capital
surplus. If the Fund?s
total distributions for the year (exclusive of long-term capital gains
dividends) exceed its net investment income and short-term capital gains
for the year, all or a portion of the undesignated distributions may
constitute a non-taxable return of capital.
Management currently believes it is likely that all of the
undesignated portion will be a non-taxable return of capital, however
the actual determination of the source of the undesignated distributions
can be made only at year-end. As
of June 30, 2003, the Fund's N.A.V. was $5.12 and the stock closed at
$5.77, a premium of 12.70%. Blue
Chip Value Fund, Inc. can be found on the Internet at www.blu.com. *
* * * * * * * * * * * * * * * The
stocks owned on June 30, 2003 by Blue Chip Value Fund, Inc. were: Aetna
Inc *
* * * * * * * * * * * * * * Blue Chip Value Fund, Inc. is a closed-end diversified management investment company whose objective is to seek a high level of total return through investment in a portfolio having at least 80% of its net assets in equity securities of large companies with headquarters in the United States. These stocks are included in, or similar in size to those included in, the Standard & Poor's 500 Composite Stock Price Index. The Fund will normally have approximately 50 stocks within the portfolio. The Fund features a Dividend Reinvestment and Cash Purchase Plan. Denver Investment Advisors LLC is the Fund's investment adviser. Home | Fund Facts | Current News | Shareholder Services | Distribution
Information | Contact Us |
||||