Company: Canadian Convertibles Income Plus Fd
Stock Name: CCI.UN
Amount: CAD 0.1563
Announcement Date: 21/09/2011
Record Date: 28/09/2011
Dividend Detail:
Stock Name: CCI.UN
Amount: CAD 0.1563
Announcement Date: 21/09/2011
Record Date: 28/09/2011
Dividend Detail:
TORONTO, Sept. 21, 2011 /CNW/ - Canadian Convertibles Plus Fund (TSX;
CCI.UN) announces a distribution of $0.15625 per Unit for the quarter
ending September 30, 2011. The distribution will be paid on or before
October 15, 2011 to Unitholders of record on September 30, 2011.
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