Strathbridge Asset Management Inc. Declares Monthly Fund Distributions

Strathbridge Asset Management Inc. Declares Monthly Fund Distributions

Strathbridge Asset Management Inc. Declares Monthly Fund Distributions

TORONTO, ONTARIO--(Marketwired - May 29, 2017) - Strathbridge Asset Management Inc. CDDUTELVU announces monthly distributions payable on June 30, 2017 to unitholders of record on June 15, 2017, ex-dividend date of June 13, 2017 for the following funds:

Fund Name Ticker Amount Per Unit
Core Canadian Dividend Trust CDD.UN $0.03597
Canadian Utilities & Telecom Income Fund UTE.UN $0.06335
Low Volatility U.S. Equity Income Fund LVU.UN $0.04849

For further information, please contact Investor Relations at 416.681.3966, toll free at 1.800.725.7172 or visit www.strathbridge.com.

Commissions, trailing commissions, management fees and expenses all may be associated with investment funds. Please read the prospectus before investing. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

Strathbridge Asset Management Inc.

John Germain

Senior Vice President & CFO

Strathbridge Asset Management Inc.

121 King Street West, Suite 2600

Toronto, Ontario, M5H 3T9

416.681.3966; 1.800.725.7172

info@strathbridge.com

www.strathbridge.com

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