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ORIGINAL: Quarterly and monthly fund distributions by Fiera Capital

2017-03-14 18:08 ET - News Release

Also News Release (C-CBT) June 2020 Corporate Bond Trust
Also News Release (C-FRL) Senior Secured Floating Rate Loan Fund
Also News Release (C-IFB) Investment Grade Infrastructure Bond Fund
Also News Release (C-NPF) North American Preferred Share Fund
Also News Release (C-NRF) North American REIT Income Fund
Also News Release (C-RAI) Real Asset Income and Growth Fund

Quarterly and monthly fund distributions by Fiera Capital

Canada NewsWire

/NOT FOR DISTRIBUTION TO U.S. NEWS WIRE SERVICES OR DISSEMINATION IN THE UNITED STATES/

TORONTO and MONTREAL, March 14, 2017 /CNW Telbec/ - Fiera Capital Corporation (TSX: FSZ) ("Fiera Capital"), a leading independent asset management firm, announced distributions for the Canadian Convertibles Plus Fund, June 2020 Corporate Bond Trust, North American REIT Income Fund, North American Preferred Share Fund, Senior Secured Floating Rate Loan Fund, Investment Grade Infrastructure Bond Fund, Real Asset Income and Growth Fund and Canadian Preferred Share Trust (collectively the "Funds").

Quarterly Distributions:

For the quarter ending March 31, 2017 the Canadian Convertibles Plus Fund and the June 2020 Corporate Bond Trust will make the following distributions.

Fund

TSX

Symbol

Distribution
Amount
(per unit)

Record Date

Payment Date

Canadian Convertibles Plus Fund

CCI.UN

$0.15625

March 31, 2017

April 13, 2017

June 2020 Corporate Bond Trust (Class A)

Not listed

$0.0750

March 31, 2017

April 13, 2017

June 2020 Corporate Bond Trust (Class T)

CBT.UN

$0.0875

March 31, 2017

April 13, 2017

 

Monthly Distributions:

For months ending March 2017, April 2017 and May 2017, the North American REIT Income Fund, North American Preferred Share Fund, Senior Secured Floating Rate Loan Fund, Investment Grade Infrastructure Bond Fund, Real Asset Income and Growth Fund and Canadian Preferred Share Trust will make the following distributions.

Fund

TSX
Symbol

Distribution
Amount
(per unit)

Record Date

Payment Date

North American REIT Income Fund

NRF.UN

$0.05000

March 31, 2017

April 13, 2017

North American REIT Income Fund

NRF.UN

$0.05000

April 28, 2017

May 15, 2017

North American REIT Income Fund

NRF.UN

$0.05000

May 31, 2017

June 15, 2017

North American Preferred Share Fund

NPF.UN

$0.11460

March 31, 2017

April 13, 2017

North American Preferred Share Fund

NPF.UN

$0.11460

April 28, 2017

May 15, 2017

North American Preferred Share Fund

NPF.UN

$0.11460

May 31, 2017

June 15, 2017

Senior Secured Floating Rate Loan Fund (Class A)

FRL.UN

$0.054167

March 31, 2017

April 13, 2017

Senior Secured Floating Rate Loan Fund (Class A)

FRL.UN

$0.054167

April 28, 2017

May 15, 2017

Senior Secured Floating Rate Loan Fund (Class A)

FRL.UN

$0.054167

May 31, 2017

June 15, 2017

Senior Secured Floating Rate Loan Fund (Class U)

Not listed

$0.054167 (U.S.)

March 31, 2017

April 13, 2017

Senior Secured Floating Rate Loan Fund (Class U)

Not listed

$0.054167 (U.S.)

April 28, 2017

May 15, 2017

Senior Secured Floating Rate Loan Fund (Class U)

Not listed

$0.054167 (U.S.)

May 31, 2017

June 15, 2017

Investment Grade Infrastructure Bond Fund

IFB.UN

$0.04166

March 31, 2017

April 13, 2017

Investment Grade Infrastructure Bond Fund

IFB.UN

$0.04166

April 28, 2017

May 15, 2017

Investment Grade Infrastructure Bond Fund

IFB.UN

$0.04166

May 31, 2017

June 15, 2017

Real Asset Income and Growth Fund (Class A)

RAI.UN

$0.04167

March 31, 2017

April 13, 2017

Real Asset Income and Growth Fund (Class A)

RAI.UN

$0.04167

April 28, 2017

May 15, 2017

Real Asset Income and Growth Fund (Class A)

RAI.UN

$0.04167

May 31, 2017

June 15, 2017

Real Asset Income and Growth Fund (Class U)

Not listed

$0.04167 (U.S.)

March 31, 2017

April 13, 2017

Real Asset Income and Growth Fund (Class U)

Not listed

$0.04167 (U.S.)

April 28, 2017

May 15, 2017

Real Asset Income and Growth Fund (Class U)

Not listed

$0.04167 (U.S.)

May 31, 2017

June 15, 2017

Canadian Preferred Share Trust (Class A)

PFT.UN

$0.0333

March 31, 2017

April 13, 2017

Canadian Preferred Share Trust (Class A)

PFT.UN

$0.0333

April 28, 2017

May 15, 2017

Canadian Preferred Share Trust (Class A)

PFT.UN

$0.0333

May 31, 2017

June 15, 2017

Canadian Preferred Share Trust (Class F)

Not listed

$0.0333

March 31, 2017

April 13, 2017

Canadian Preferred Share Trust (Class F)

Not listed

$0.0333

April 28, 2017

May 15, 2017

Canadian Preferred Share Trust (Class F)

Not listed

$0.0333

May 31, 2017

June 15, 2017

 

About Fiera Capital Corporation

Fiera Capital is a leading North American independent asset management firm with more than CAD$116 billion in assets under management as at December 31, 2016. The Firm provides institutional, retail and private wealth clients with access to full-service integrated money management solutions across traditional and alternative asset classes. Clients and their portfolios derive benefit from Fiera Capital's depth of expertise, diversified offerings and outstanding service. Fiera Capital trades under the ticker FSZ on the Toronto Stock Exchange. www.fieracapital.com

In the U.S., asset management services are provided by the Firm's U.S. affiliates, Bel Air Investment Advisors LLC and Fiera Capital Inc., investment advisers that are registered with the U.S. Securities and Exchange Commission (SEC). Registration with the SEC does not imply a certain level of skill or training. Additional information about Fiera Capital Corporation, including the Firm's annual information form, is available on SEDAR at www.sedar.com.

 

SOURCE Fiera Capital Corporation

To view the original version on PR Newswire, visit: http://www.newswire.ca/en/releases/archive/March2017/14/c3817.html

Contact:

Elliot Johnson, Senior Vice President, Product Development & Management, Retail Markets, Fiera Capital Corporation, 416-640-4959, ejohnson@fieracapital.com

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