HENNESSY ADVISORS, INC. (NASDAQ:HNNA) Files An 8-K Results of Operations and Financial ConditionItem 2.02.
On August2, 2017, Hennessy Advisors, Inc. issued a press release announcing its financial results for the fiscal quarter ended June30, 2017. A copy of the press release is being furnished as Exhibit99.1 to this Current Report on Form8-K and is incorporated by reference herein.
Item 7.01. | Regulation FD Disclosure |
On August2, 2017, Hennessy Advisors, Inc. issued a press release announcing that it had declared a cash dividend of $0.075 per share on its common stock, payable September11, 2017, to shareholders of record at the close of business on August17, 2017. A copy of the press release is being furnished as Exhibit99.1 to this Current Report on Form8-K and is incorporated by reference herein.
Item 9.01. | Financial Statements and Exhibits |
Exhibit | Description |
99.1 | Press release issued August2, 2017, by Hennessy Advisors, Inc. announcing financial results for the fiscal quarter ended June30, 2017, and declaration of a cash dividend. |
HENNESSY ADVISORS INC ExhibitEX-99.1 2 v472153_ex99-1.htm EXHIBIT 99.1 Hennessy Advisors,…To view the full exhibit click here
About HENNESSY ADVISORS, INC. (NASDAQ:HNNA)
Hennessy Advisors, Inc. is an investment management company. The Company’s business activity is managing, servicing and marketing open-end mutual funds branded as the Hennessy Funds. It provides investment advisory services and shareholder services to the Hennessy Funds. Its investment advisory services include managing the composition of each fund’s portfolio, including the purchase, retention and disposition of portfolio securities in accordance with the Fund’s investment objectives, policies and restrictions; conducting investment research, and monitoring compliance with each fund’s investment restrictions and applicable laws and regulations. It also includes overseeing the selection and continued employment of sub-advisors and monitoring such sub-advisors’ investment performance and adherence to investment policies and compliance procedures, overseeing other service providers, and maintaining public relations and marketing programs for each of the Funds.