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:




                                                            Amount
Record Date           Payment Date            ($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. 


FOR FURTHER INFORMATION PLEASE CONTACT: 
Artemis Investment Management Limited
Investor Relations
(647) 477-4885
www.artemisfunds.ca

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