Highlights & Unit Information

Highlights & Unit Information

Income The annual distribution target of $0.10 per unit was payable monthly. The annual distribution target is normally announced in December of each year.
Diversification Actively managed portfolio of preferred and common shares, income trusts, income securities, including bonds and debentures, Canadian mortgage-backed securities, REIT's and other equity securities.
Liquidity TSX listed and annual redemption at 100% of NAV.
Eligibility RRSP, DPSP, RRIF, RESP
TSX Ticker Symbol BSE.UN (Delisted Effective June 15, 2018)
Fund Inception January 1, 2010
Fund Termination The wind-up the Fund effective June 14, 2018
Annual Redemption Fund terminated effective June 14, 2018.
Quarterly Distribution $0.025 (Final Payment June 15, 2018)
DRIP Program No

 

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