NVU_u Northview Apartment Real Estate Investment Trust

Northview Apartment REIT Announces July 2020 Distribution

Northview Apartment REIT Announces July 2020 Distribution

CALGARY, Alberta, July 20, 2020 (GLOBE NEWSWIRE) -- Northview Apartment Real Estate Investment Trust (NVU.UN - TSX) announced its July 2020 monthly distribution in the amount of $0.1358 per trust unit. The distribution will be payable on August 17, 2020 to holders of trust units of record at July 31, 2020.

Northview Apartment REIT offers a distribution reinvestment plan (the “DRIP”). Participants will receive their monthly cash distributions in Trust Units and receive additional Trust Units equivalent to 3% of their monthly cash distributions reinvested in the DRIP.

CORPORATE PROFILE

Northview is one of Canada's largest publicly traded multi-family REITs with a portfolio of approximately 27,000 quality residential suites and 1.2 million square feet of commercial space in more than 60 markets across eight provinces and two territories. Northview's well-diversified portfolio includes markets characterized by expanding populations and growing economies, which provides Northview the means to deliver stable and growing profitability and distributions to Unitholders of Northview over time. Northview currently trades on the TSX under the ticker symbol: NVU.UN. Additional information concerning Northview is available at or .

For further information:

Mr. Travis Beatty

Chief Financial Officer

(403) 531-0720

EN
20/07/2020

Underlying

Reports on Northview Apartment Real Estate Investment Trust

 PRESS RELEASE

Northview Canadian High Yield Residential Fund Announces November Dist...

Northview Canadian High Yield Residential Fund Announces November Distribution Not for distribution to U.S. newswire services or for dissemination in the United States. TORONTO, Nov. 15, 2021 (GLOBE NEWSWIRE) -- Northview Canadian High Yield Residential Fund (the “Fund”) today announced its November 2021 cash distribution amounts on its outstanding Class A Units, Class C Units and Class F Units Class (collectively, the “Units”), payable on December 15, 2021 to holders of Units of record at November 30, 2021. The distribution amounts will be as follows: C$0.10476 per Class A Unit, repres...

 PRESS RELEASE

Northview Canadian High Yield Residential Fund Announces Q3 2021 Finan...

Northview Canadian High Yield Residential Fund Announces Q3 2021 Financial Results and Executive Team Changes Not for distribution to U.S. newswire services or for dissemination in the United States. TORONTO, Nov. 12, 2021 (GLOBE NEWSWIRE) -- Northview Canadian High Yield Residential Fund (“Northview” or the “Fund”) (NHF.UN – TSX), today announced financial results for the three and nine months ended September 30, 2021. All amounts in this news release are in thousands of Canadian dollars unless otherwise indicated.     “We are pleased to report another quarter of stable financial ...

 PRESS RELEASE

Northview Canadian High Yield Residential Fund Announces October Distr...

Northview Canadian High Yield Residential Fund Announces October Distribution Not for distribution to U.S. newswire services or for dissemination in the United States. TORONTO, Oct. 15, 2021 (GLOBE NEWSWIRE) -- Northview Canadian High Yield Residential Fund (the “Fund”) today announced its October 2021 cash distribution amounts on its outstanding Class A Units, Class C Units and Class F Units Class (collectively, the “Units”), payable on November 15, 2021 to holders of Units of record at October 31, 2021. The distribution amounts will be as follows: C$0.10476 per Class A Unit, represent...

 PRESS RELEASE

Northview Canadian High Yield Residential Fund Announces September Dis...

Northview Canadian High Yield Residential Fund Announces September Distribution Not for distribution to U.S. newswire services or for dissemination in the United States. TORONTO, Sept. 15, 2021 (GLOBE NEWSWIRE) -- Northview Canadian High Yield Residential Fund (the “Fund”) today announced its September 2021 cash distribution amounts on its outstanding Class A Units, Class C Units and Class F Units Class (collectively, the “Units”), payable on October 15, 2021 to holders of Units of record at September 30, 2021. The distribution amounts will be as follows: C$0.10476 per Class...

 PRESS RELEASE

Northview Canadian High Yield Residential Fund Announces August Distri...

Northview Canadian High Yield Residential Fund Announces August Distribution Not for distribution to U.S. newswire services or for dissemination in the United States. TORONTO, Aug. 16, 2021 (GLOBE NEWSWIRE) -- Northview Canadian High Yield Residential Fund (the “Fund”) today announced its August 2021 cash distribution amounts on its outstanding Class A Units, Class C Units and Class F Units Class (collectively, the “Units”), payable on September 15, 2021 to holders of Units of record at August 31, 2021. The distribution amounts will be as follows: C$0.10476 per Class A Unit, represent...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch