Ms. Nancy Tham reports
INTERNATIONAL CLEAN POWER DIVIDEND FUND ANNOUNCES DISTRIBUTIONS AND CONFIRMS REDEMPTION EFFECTIVE DATE OF MARCH 27, 2024
Distributions for the first quarter of 2024 will be payable to
International Clean Power Dividend Fund unitholders of International Clean Power Dividend Fund as shown in the attached table.
On Jan. 10, 2024, the fund issued a press release announcing its intention to merge into Infrastructure Dividend Split Corp. (the merger), a split share corporation to be formed in connection with the merger. Prior to the merger, unitholders of the fund will have the right to redeem their fund units in accordance with the fund's declaration of trust with an effective redemption date as of March 27, 2024 (the redemption date). The press release incorrectly referred to the redemption date as being March 28, 2024. Unitholders who participate in the redemption will not be eligible for the distribution payable on April 15, 2024.
The trust units trade on the Toronto Stock Exchange under the symbol CLP.UN.
We seek Safe Harbor.
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