Citadel Income Fund Announces Monthly Distributions for 2012
12 January 2012 - 8:30AM
PR Newswire (Canada)
TORONTO, Jan. 11, 2012 /CNW/ - Citadel Income Fund announces the
following distributions per Unit will be declared payable on each
distribution payment date to Unitholders of record on the
applicable Distribution Record Date as indicated below: Record Date
Payment Date Amount (CDN $) January 31, 2012 February 15, 2012
$0.03 February 29, 2012 March 15, 2012 $0.03 March 30, 2012 April
13, 2012 $0.03 April 30, 2012 May 15, 2012 $0.03 May 31, 2012 June
15, 2012 $0.03 June 29, 2012 July 13, 2012 $0.03 July 31, 2012
August 15, 2012 $0.03 August 31, 2012 September 14, 2012 $0.03
September 28, 2012 October 15, 2012 $0.03 October 31, 2012 November
15, 2012 $0.03 November 30, 2012 December 14, 2012 $0.03 December
31, 2012 January 15, 2013 $0.03 Citadel Income Fund
CONTACT: please contact Crown Hill Capital Corporation at
416-361-9673 orvisitour website www.crownhill.ca
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