Citadel Income Fund Announces Monthly Distributions for 2014
23 January 2014 - 9:15AM
Marketwired
Citadel Income Fund Announces Monthly Distributions for 2014
TORONTO, ONTARIO--(Marketwired - Jan 22, 2014) - Citadel Income
Fund (TSX:CTF.UN) (the "Fund") announces distributions for 2014 of
$0.03 per unit per month. Each monthly distribution will be paid in
units of the Fund, instead of cash, based on the 5-day
volume-weighted average trading price of the units, calculated, in
each case, as of the date that is five trading days before the
applicable record date. Unitholders of record on the last day of
each month of 2014 will be paid their distributions on the 15th day
(or first business day thereafter) of the ensuing month.
In connection with each monthly distribution, outstanding units
of the Fund will trade ex-distribution commencing on the date that
is two trading days before the applicable monthly record date.
The Fund reviews its distribution policy annually and sets its
policy based on a number of factors including the amount of
distributable income, taxability of distributable net capital gains
and net income, withholding taxes on foreign investments, timing of
income with regard to distributions as well as the investment
objectives, strategy and restrictions of the Fund.
Participants in the Fund's dividend reinvestment plan will see
no changes in the basis of calculation for their distributions.
The following distributions per unit will be declared payable on
each distribution payment date to unitholders of record on the
applicable distribution record date as indicated below:
Record Date |
Payment Date |
Amount ($CAD in Fund units) |
|
|
|
January 31, 2014 |
February 18, 2014 |
$0.03 |
February 28, 2014 |
March
17, 2014 |
$0.03 |
March
31, 2014 |
April
15, 2014 |
$0.03 |
April
30, 2014 |
May
15, 2014 |
$0.03 |
May
31, 2014 |
June
16, 2014 |
$0.03 |
June
30, 2014 |
July
15, 2014 |
$0.03 |
July
31, 2014 |
August 15, 2014 |
$0.03 |
August 31, 2014 |
September 15, 2014 |
$0.03 |
September 30, 2014 |
October 15, 2014 |
$0.03 |
October 31, 2014 |
November 17, 2014 |
$0.03 |
November 30, 2014 |
December 15, 2014 |
$0.03 |
December 31, 2014 |
January 15, 2015 |
$0.03 |
For further information, please contact your financial advisor,
call Artemis Investment Management Limited's investor relations
line at (647) 477-4885 or visit our website at
www.artemisfunds.ca.
Artemis Investment Management LimitedInvestor Relations(647)
477-4885www.artemisfunds.ca
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