Purpose Investments Inc. Announces July Distributions


TORONTO, July 20, 2017 (GLOBE NEWSWIRE) -- Purpose Investments Inc. is pleased to announce the following distributions for the month of July 2017. The ex-distribution date for all funds is July 27, 2017, with the exception of the Purpose High Interest Savings ETF and the Purpose US Cash ETF, which have an ex-distribution date of July 31, 2017.

Open-End FundsTSX
Symbol
Distribution
per share/unit
        Record        
Date
       Payable      
Date
   Distribution  
Frequency
Purpose Core Dividend Fund - ETF SeriesPDF            $0.08001              07/31/201708/08/2017Monthly
Purpose Total Return Bond Fund - ETF SeriesPBD$0.07001             07/31/201708/08/2017Monthly
Purpose Duration Hedged Real Estate Fund – ETF SeriesPHR$0.08001             07/31/201708/08/2017Monthly
Purpose Monthly Income Fund - ETF SeriesPIN$0.08301             07/31/201708/08/2017Monthly
Purpose Premium Yield Fund – ETF SeriesPYF$0.08301             07/31/201708/08/2017Monthly
Purpose Canadian Financial Income Fund – ETF SeriesBNC$0.07501             07/31/201708/08/2017Monthly
Purpose Conservative Income Fund – ETF SeriesPRP$0.04401             07/31/201708/08/2017Monthly
Purpose International Dividend Fund – ETF UnitsPID$0.0560             07/31/201708/08/2017Monthly
Purpose US Dividend Fund – ETF UnitsPUD$0.0510             07/31/201708/08/2017Monthly
Purpose US Dividend Fund Non-Currency Hedged – ETF UnitsPUD.B$0.0597             07/31/201708/08/2017Monthly
Purpose Tactical Investment Grade Bond Fund – ETF UnitsBND$0.0550             07/31/201708/08/2017Monthly
Purpose Short Duration Tactical Bond Fund – ETF UnitsSBND$0.0400             07/31/201708/08/2017Monthly
Purpose High Interest Savings ETFPSA$0.0430             07/31/201708/08/2017Monthly
Purpose US Cash ETFPSU.UUS$ 0.087007/31/201708/08/2017Monthly
      
Closed-End FundsTSX
Symbol
Distribution
per share/unit
Record
Date
Payable
Date
Distribution
Frequency
Energy Credit Opportunities Income Fund – Class APCF.UN$0.0500             07/31/201708/15/2017Monthly
Energy Credit Opportunities Income Fund – Class UPCF.UUS$ 0.050007/31/201708/15/2017Monthly
Investment Grade Managed Duration Income Fund – Class T   PFU.UN  $0.0417             07/31/201708/15/2017Monthly
Investment Grade Managed Duration Income Fund – Class Aunlisted$0.0417             07/31/201708/15/2017Monthly
Investment Grade Managed Duration Income Fund – Class A2unlisted$0.0417             07/31/201708/15/2017Monthly
Limited Duration Investment Grade Preferred Securities Fund - Class A  PFD.UN$0.1250             07/31/201708/15/2017Monthly
Limited Duration Investment Grade Preferred Securities Fund - Class Funlisted$0.1250             07/31/201708/15/2017Monthly
Limited Duration Investment Grade Preferred Securities Fund - Class UPFD.UUS$ 0.119807/31/201708/15/2017Monthly
Limited Duration Investment Grade Preferred Securities Fund - Class VunlistedUS$ 0.119807/31/201708/15/2017Monthly
U.S. Banks Income & Growth Fund – Class TPUB.UN$0.0417             07/31/201708/15/2017Monthly
U.S. Banks Income & Growth Fund – Class Aunlisted$0.0417             07/31/201708/15/2017Monthly
U.S. Banks Income & Growth Fund – Class A2unlisted$0.0417             07/31/201708/15/2017Monthly

  
(1) Dividend is designated as an “eligible” Canadian dividend for purposes of the Income Tax Act (Canada) and any similar provincial and territorial legislation.

About Purpose Investments Inc.

Purpose Investments is an asset management firm inspired by the belief that all investors should have access to great investment products along with low fees.  Purpose believes in focusing first on managing risk and creating value that is currently missing from the marketplace, thus empowering all Canadians to be better investors.  Purpose has over $3 billion in assets under management and currently offers 37 exchange traded funds and mutual funds and 7 closed-end funds across multiple asset classes and both traditional and alternative investment strategies.

Commissions, trailing commissions, management fees and expenses all may be associated with investment fund investments. Please read the prospectus and other disclosure documents before investing. Investment funds are not covered by the Canada Deposit Insurance Corporation or any other government deposit insurer. There can be no assurance that the full amount of your investment in a fund will be returned to you. If the securities are purchased or sold on a stock exchange, you may pay more or receive less than the current net asset value. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

 


            

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