TORONTO, ONTARIO--(Marketwired - Jan 13, 2017) - Citadel Income Fund (TSX:CTF.UN) (the "Fund") announces the following distributions per unit will be declared payable on each distribution payment date to unitholders of record on the distribution record date indicated below:
Record Date | Payment Date | Amount ($CAD per unit) | ||
January 31, 2017 | February 15, 2017 | $0.01 | ||
February 28, 2017 | March 15, 2017 | $0.01 | ||
March 31, 2017 | April 17, 2017 | $0.01 | ||
April 30, 2017 | May 15, 2017 | $0.01 | ||
May 31, 2017 | June 15, 2017 | $0.01 | ||
June 30, 2017 | July 17, 2017 | $0.01 | ||
July 31, 2017 | August 15, 2017 | $0.01 | ||
August 31, 2017 | September 15, 2017 | $0.01 | ||
September 30, 2017 | October 16, 2017 | $0.01 | ||
October 31, 2017 | November 15, 2017 | $0.01 | ||
November 30, 2017 | December 15, 2017 | $0.01 | ||
December 31, 2017 | January 15, 2018 | $0.01 |