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Blue Ribbon Income Fund Announces Monthly Distributions

Blue Ribbon Income Fund Announces Monthly Distributions

藍帶收益基金宣佈按月分配
GlobeNewswire ·  2022/07/22 21:05

TORONTO, July 22, 2022 (GLOBE NEWSWIRE) -- (TSX: RBN.UN) Blue Ribbon Income Fund (the "Fund") announces distributions in the amount of $0.04 per unit per month for record dates from July to September 2022.

多倫多,2022年7月22日(環球通訊社)--(多倫多證券交易所:RBN.UN)藍絲帶收入基金(“基金”)宣佈,2022年7月至9月的記錄日期為每月每單位0.04美元的分配。

Record Date   Payment Date
July 29, 2022   August 15, 2022
August 31, 2022   September 15, 2022
September 30, 2022   October 17, 2022
記錄日期 付款日期
2022年7月29日 2022年8月15日
2022年8月31日 2022年9月15日
2022年9月30日 2022年10月17日

Since the Fund's inception in September 1997, the Fund has paid cash distributions of $20.61 per unit.  

自1997年9月基金成立以來,基金每單位支付的現金分發額為20.61美元。

Unitholders are reminded that the Fund offers a distribution reinvestment plan ("DRIP") which provides unitholders with the ability to automatically reinvest distributions, commission free, and realize the benefits of compound growth. Unitholders can enroll in the DRIP program by contacting their investment advisor.

提醒基金單位持有人,基金提供分銷再投資計劃(“DIP”),讓基金單位持有人能夠自動對分銷進行再投資,免收佣金,並實現複合增長的好處。單位持有人可以通過聯繫他們的投資顧問來註冊DIP計劃。

For further information, please contact your investment advisor, call Brompton's investor relations line at 416-642-6000 (toll-free at 1-866-642-6001), email info@bromptongroup.com or visit our website at .

欲瞭解更多信息,請聯繫您的投資顧問,撥打Brompton的投資者關係熱線416-642-6000(免費電話:1-866-642-6001),發送電子郵件至info@brompthong roup.com,或訪問我們的網站:。

You will usually pay brokerage fees to your dealer if you purchase or sell units of the investment fund on the Toronto Stock Exchange or other alternative Canadian trading system (an "exchange"). If the units are purchased or sold on an exchange, investors may pay more than the current net asset value when buying units of the investment fund and may receive less than the current net asset value when selling them.

如果您在多倫多證券交易所或其他加拿大另類交易系統(“交易所”)購買或出售投資基金的單位,您通常將向您的交易商支付經紀費。如果在交易所購買或出售單位,投資者在購買投資基金單位時支付的價格可能高於當前資產淨值,而在出售時可能獲得低於當前資產淨值的收益。

There are ongoing fees and expenses associated with owning units of an investment fund. An investment fund must prepare disclosure documents that contain key information about the fund. You can find more detailed information about the Fund in the public filings available at . Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

有與擁有投資基金單位相關的持續費用和支出。投資基金必須準備包含基金關鍵信息的披露文件。你可以在公開文件中找到更多關於該基金的詳細信息,網址為。投資基金沒有保證,它們的價值經常變化,過去的業績可能不會重演。

Certain statements contained in this news release constitute forward-looking information within the meaning of Canadian securities laws. Forward-looking information may relate to matters disclosed in this press release and to other matters identified in public filings relating to the Fund, to the future outlook of the Fund and anticipated events or results and may include statements regarding the future financial performance of the Fund. In some cases, forward-looking information can be identified by terms such as "may", "will", "should", "expect", "plan", "anticipate", "believe", "intend", "estimate", "predict", "potential", "continue" or other similar expressions concerning matters that are not historical facts. Actual results may vary from such forward-looking information. Investors should not place undue reliance on forward-looking statements. These forward-looking statements are made as of the date hereof and we assume no obligation to update or revise them to reflect new events or circumstances.

本新聞稿中包含的某些陳述屬於加拿大證券法所指的前瞻性信息。前瞻性信息可能涉及本新聞稿中披露的事項以及與基金有關的公開文件中確定的其他事項、基金的未來前景和預期的事件或結果,還可能包括關於基金未來財務業績的陳述。在某些情況下,前瞻性信息可以用諸如“可能”、“將”、“應該”、“預期”、“計劃”、“預期”、“相信”、“打算”、“估計”、“預測”、“可能”、“繼續”或其他類似表述來確定,這些表述涉及非歷史事實的事項。實際結果可能與這些前瞻性信息有所不同。投資者不應過度依賴前瞻性陳述。這些前瞻性陳述是截至本文發佈之日作出的,我們沒有義務對其進行更新或修訂以反映新的事件或情況。


譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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