Russell Investments Fixed Income Pool Announces Cash Distribution for the Months of January, February and March, Payable on January 20, 2021, February 22, 2021, March 22, 2021 Respectively
January 13, 2021 at 02:49 am IST
Russell Investments Fixed Income Pool announced cash distribution of $0.0308 per unit for the months of January, February and March and payable on respectively on January 25, 2021, February 25, 2021, and March 25, 2021Respectively. Record date are January 20, 2021, February 22, 2021, March 22, 2021.