ACTIVEnergy Income Fund Distributions

Release

ACTIVEnergy Income Fund Distributions

CALGARY, July 21, 2015 /CNW/ - Middlefield Group is pleased to announce that distributions for the third quarter of 2015 will be payable to unitholders of ACTIVEnergy Income Fund as follows:

Record Date

Payable Date

Distribution Per Trust Unit

July 31, 2015

August 14, 2015

$0.05

August 31, 2015

September 15, 2015

$0.05

September 30, 2015

October 15, 2015

$0.05

The trust units trade on the Toronto Stock Exchange under the symbol AEU.UN.

Middlefield Group

Formed in 1979, Middlefield creates and manages specialized investment products for individual and institutional investors and has assets under management of approximately $4.5 billion. Investment products include mutual funds, closed-end funds, private and public resource funds, real estate funds and a venture capital fund.

SOURCE ACTIVEnergy Income Fund

For further information: For further information, please visit our website at www.middlefield.com or contact the undersigned: Nancy Tham, Managing Director, Sales and Marketing, (416) 847-5349

Total
0
Shares
Previous Article

Global Healthcare Dividend Fund Distributions

Next Article

Suspension de la nƩgociation par l'OCRCVM - RIT.A

Related Posts
Subscribe to AdvisorAnalyst.com notifications
Watch. Listen. Read. Raise your average.