FCS_pc FAIRCOURT SPLIT PR C Pfd.

CORRECTION: Faircourt Asset Management Inc. Announces Adjustment in Distribution for the Trust Units of Faircourt Split Trust

CORRECTION: Faircourt Asset Management Inc. Announces Adjustment in Distribution for the Trust Units of Faircourt Split Trust

The news release dated July 19, 2022 had an error with the payable date. The payable date should have been August 4, 2022. Please find below the complete and corrected release.

Toronto, July 20, 2022 (GLOBE NEWSWIRE) -- Faircourt Asset Management Inc., as Manager of Faircourt Split Trust (NEO: FCS.UN) (the “Fund”) announces that the monthly distribution on the Trust Units will be adjusted from $0.06 per month per Trust Unit ($0.72 per annum per Trust Unit) to $0.015 per month per Trust Unit ($0.18 per annum per Trust Unit). The new monthly distribution will represent a current yield of approximately 4.9% based on the current net asset value per unit of the Fund.

The Fund’s distribution is funded primarily by option writing and capital gains. The Manager believes that managing the distribution level represents an opportunity to assist in preserving and growing the NAV of the Fund.

 

Faircourt FundsTrading SymbolDistribution Amount (per share)Ex-Dividend DateRecord DatePayable Date
Faircourt Split TrustFCS.UN$0.015July 28, 2022July 29, 2022August 4, 2022

 

Faircourt Asset Management Inc. is the Investment Advisor for Faircourt Split Trust.

This press release is not for distribution in the United States or over United States wire services.

 

For further information on the Faircourt Funds, please visit

or please contact 1-800-831-0304.



EN
20/07/2022

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on FAIRCOURT SPLIT PR C Pfd.

 PRESS RELEASE

Faircourt Asset Management Inc. Announces February Distribution

Faircourt Asset Management Inc. Announces February Distribution Toronto, ON, Feb. 24, 2026 (GLOBE NEWSWIRE) -- Faircourt Asset Management Inc., as Manager of the Faircourt Fund (CBOE:FGX), is pleased to announce the monthly distribution payable on the Shares of the below listed Fund. Faircourt FundsTrading SymbolDistribution Amount (per share/unit)Ex-Dividend DateRecord DatePayable DateFaircourt Gold Income Corp.FGX$0.034February 27, 2026February 27, 2026March 13, 2026 Faircourt Asset Management Inc. is the Investment Advisor for Faircourt Gold Income Corp. This press release is not for ...

 PRESS RELEASE

Faircourt Asset Management Inc. Announces Distribution Increase for th...

Faircourt Asset Management Inc. Announces Distribution Increase for the Shares of Faircourt Gold Income Corp. Toronto, Jan. 15, 2026 (GLOBE NEWSWIRE) -- Faircourt Asset Management Inc., as Manager of Faircourt Gold Income Corp (CBOE:FGX), based on strong NAV growth achieved over the past year, is pleased to announce an increase of 41.67% in the monthly distribution for the Class A Shares of the corporation, beginning with the January distribution. Faircourt FundsTrading SymbolDistribution Amount (per share/unit)Ex-Dividend DateRecord DatePayable Date Faircourt Gold Income Corp.FGX  $0.034...

 PRESS RELEASE

Faircourt Asset Management Inc. Announces December Distribution

Faircourt Asset Management Inc. Announces December Distribution Toronto, Dec. 23, 2025 (GLOBE NEWSWIRE) -- Faircourt Asset Management Inc., as Manager of the Faircourt Fund (CBOE:FGX), is pleased to announce the monthly distribution payable on the Shares of the below listed Fund. Faircourt FundsTrading SymbolDistribution Amount (per share/unit)Ex-Dividend DateRecord DatePayable DateFaircourt Gold Income Corp.FGX$0.024December 31, 2025December 31, 2025January 15, 2026 Faircourt Asset Management Inc. is the Investment Advisor for Faircourt Gold Income Corp. This press release is not for di...

 PRESS RELEASE

Faircourt Asset Management Inc. Announces November Distribution

Faircourt Asset Management Inc. Announces November Distribution Toronto, ON, Nov. 25, 2025 (GLOBE NEWSWIRE) -- Faircourt Asset Management Inc., as Manager of the Faircourt Fund (CBOE:FGX), is pleased to announce the monthly distribution payable on the Shares of the below listed Fund. Faircourt FundsTrading SymbolDistribution Amount (per share/unit)Ex-Dividend DateRecord DatePayable DateFaircourt Gold Income Corp.FGX$0.024November 28, 2025November 28, 2025December 12, 2025 Faircourt Asset Management Inc. is the Investment Advisor for Faircourt Gold Income Corp. This press release is not f...

 PRESS RELEASE

Faircourt Asset Management Inc. Announces October Distribution

Faircourt Asset Management Inc. Announces October Distribution Toronto, Oct. 24, 2025 (GLOBE NEWSWIRE) -- Faircourt Asset Management Inc., as Manager of the Faircourt Fund (CBOE:FGX), is pleased to announce the monthly distribution payable on the Shares of the below listed Fund. Faircourt FundsTrading SymbolDistribution Amount (per share/unit)Ex-Dividend DateRecord DatePayable DateFaircourt Gold Income Corp.FGX$0.024October 31, 2025October 31, 2025November 14, 2025 Faircourt Asset Management Inc. is the Investment Advisor for Faircourt Gold Income Corp.This press release is not for distri...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch