Strathbridge Asset Management Inc. announced monthly distribution for Canadian Utilities & Telecom Income Fund at the rate of $0.07414 per unit. The distributions is payable on January 30, 2015 to unit holders of record on January 15, 2015 with an ex-dividend date of January 13, 2015.
Canadian Utilities & Telecom Income Fund
Equities
UTE.UN
CA1367151091
Closed End Funds
1st Jan change | Capi. | |
---|---|---|
+4.04% | 12.81B | |
+15.30% | 9.73B | |
-1.20% | 5.53B | |
+4.79% | 5.15B | |
+22.90% | 4.87B | |
-10.26% | 4.74B | |
+18.88% | 4.52B | |
-0.64% | 3.91B | |
+0.87% | 3.74B |