Company: Canadian Convertibles Plus Fund
Stock Name: CCI.UN
Amount: CAD 0.1563
Announcement Date: 20/12/2011
Record Date: 29/12/2011
Dividend Detail:
For further information:
Stock Name: CCI.UN
Amount: CAD 0.1563
Announcement Date: 20/12/2011
Record Date: 29/12/2011
Dividend Detail:
TORONTO, Dec. 20, 2011 /CNW/ - Canadian Convertibles Plus Fund (TSX:
CCI.UN) announces a distribution of $0.15625 per Unit for the quarter
ending December 31, 2011. The distribution will be paid on or before
January 16, 2011 to Unitholders of record on December 31, 2011.
For further information:
please call Raj Lala, President, Propel Capital at 416-572-2364 or visit www.propelcapital.ca
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