TORONTO, Jan. 19 /CNW/ -- TORONTO, Jan. 19 /CNW/ - Citadel Income Fund (CTF.UN) 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, 2011 February 15, 2011 $0.03 February 28, 2011 March 15, 2011 $0.03 March 31, 2011 April 15, 2011 $0.03 April 29, 2011 May 13, 2011 $0.03 May 31, 2011 June 15, 2011 $0.03 June 30, 2011 July 15, 2011 $0.03 July 29, 2011 August 15, 2011 $0.03 August 31, 2011 September 15, 2011 $0.03 September 30, 2011 October 14, 2011 $0.03 October 31, 2011 November 15, 2011 $0.03 November 30, 2011 December 15, 2011 $0.03 December 30, 2011 January 13, 2012 $0.03 The revised monthly distribution amount is necessary to continue to provide unitholders with a stable stream of monthly distributions. To view this news release in HTML formatting, please use the following URL: http://www.newswire.ca/en/releases/archive/January2011/19/c3849.html pCrown Hill Capital Corporation at 416-361-9673 or visit our website a href="http://www.crownhill.ca/"www.crownhill.ca/a/p

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