UTE.UN Canadian Utilities & Telecom Income Fund

Canadian Utilities & Telecom Income Fund Declares Monthly Fund Distribution

Canadian Utilities & Telecom Income Fund Declares Monthly Fund Distribution

TORONTO, Dec. 03, 2020 (GLOBE NEWSWIRE) -- (TSX: UTE.UN) Canadian Utilities & Telecom Income Fund declares a monthly fund distribution in the amount of $0.05682 per unit, payable on December 31, 2020 to unitholders of record on December 15, 2020.

For further information, please contact Investor Relations at 416.681.3966, toll free at 1.800.725.7172, email at or visit .

  
John Germain, Senior Vice-President & CFO



Strathbridge Asset Management Inc.

121 King Street West

Suite 2600

Toronto, Ontario, M5H 3T9

  

Commissions, trailing commissions, management fees and expenses all may be associated with investment funds. Please read the prospectus before investing. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.



EN
03/12/2020

Underlying

Reports on Canadian Utilities & Telecom Income Fund

 PRESS RELEASE

Strathbridge Asset Management Inc. Announces Merger Exchange Ratio for...

Strathbridge Asset Management Inc. Announces Merger Exchange Ratio for Merger With Mulvihill Premium Yield Fund TORONTO, July 06, 2021 (GLOBE NEWSWIRE) -- Strathbridge Asset Management Inc. (the “Manager”), the manager of Canadian Utilities & Telecom Income Fund (TSX: UTE.UN) (“UTE”) is pleased to announce the exchange ratio for the merger (the “Merger”) of UTE with Mulvihill Premium Yield Fund (“MPY”). Pursuant to the Merger, each holder of units of UTE will automatically receive 0.943342 Class A units of MPY for each unit of UTE held on the effective date of the Merger, being July 6, 2...

 PRESS RELEASE

Canadian Utilities & Telecom Income Fund Declares Estimated Special Ca...

Canadian Utilities & Telecom Income Fund Declares Estimated Special Capital Gains Distribution TORONTO, June 01, 2021 (GLOBE NEWSWIRE) -- (TSX: UTE.UN) Canadian Utilities & Telecom Income Fund (the “Fund”) today declared an estimated special capital gains distribution in the amount of approximately $1.21 per unit, payable on or before June 30, 2021 to unitholders of record on June 15, 2021. The distribution is payable in units of the Fund and units issued pursuant to the special distribution will immediately be consolidated such that the number of units issued and outstanding will not cha...

 PRESS RELEASE

Canadian Utilities & Telecom Income Fund Declares Monthly Fund Distrib...

Canadian Utilities & Telecom Income Fund Declares Monthly Fund Distribution TORONTO, May 04, 2021 (GLOBE NEWSWIRE) -- (TSX: UTE.UN) Canadian Utilities & Telecom Income Fund declares a monthly fund distribution in the amount of $0.05950 per unit, payable on May 31, 2021 to unitholders of record on May 14, 2021. For further information, please contact Investor Relations at 416.681.3966, toll free at 1.800.725.7172, email at or visit . John Germain, Senior Vice-President & CFOStrathbridge Asset Management Inc.121 King Street WestSuite 2600Toronto, Ontario, M5H 3T9 Commissions, trailing com...

 PRESS RELEASE

Canadian Utilities & Telecom Income Fund Declares Monthly Fund Distrib...

Canadian Utilities & Telecom Income Fund Declares Monthly Fund Distribution TORONTO, April 05, 2021 (GLOBE NEWSWIRE) -- (TSX: UTE.UN) Canadian Utilities & Telecom Income Fund declares a monthly fund distribution in the amount of $0.05874 per unit, payable on April 30, 2021 to unitholders of record on April 15, 2021. For further information, please contact Investor Relations at 416.681.3966, toll free at 1.800.725.7172, email at or visit . John Germain, Senior Vice-President & CFOStrathbridge Asset Management Inc.121 King Street WestSuite 2600Toronto, Ontario, M5H 3T9 Commissions, traili...

 PRESS RELEASE

Canadian Utilities & Telecom Income Fund Announces Year End Results

Canadian Utilities & Telecom Income Fund Announces Year End Results TORONTO, March 24, 2021 (GLOBE NEWSWIRE) -- (TSX: UTE.UN) Canadian Utilities & Telecom Income Fund (the “Fund”) announces results of operations for the year ended December 31, 2020. Increase in net assets attributable to equity holders amounted to $0.77 million or $0.57 per unit. As at December 31, 2020, net assets attributable to equity holders were $12.79 million or $10.23 per unit. Cash distributions to equity holders totaling $0.90 million or $0.67 per unit were paid during the year. The Fund’s investment objectives ...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch