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First National Mortgage Investment Fund Announces October Monthly Distribution

October 15, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, Oct. 15, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period October 1 to October 31, 2015. The distribution will be payable on November 16, 2015 to unitholders of record at the close of business on October 30, 2015…. [Read More]

First National Mortgage Investment Fund Announces September Monthly Distribution

September 15, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, Sept. 15, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period September 1 to September 30, 2015. The distribution will be payable on October 15, 2015 to unitholders of record at the close of business on September 30,… [Read More]

First National Mortgage Investment Fund Announces August Monthly Distribution

August 14, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, Aug. 14, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period August 1 to August 31, 2015. The distribution will be payable on September 15, 2015 to unitholders of record at the close of business on August 31,… [Read More]

First National Mortgage Investment Fund announces July monthly distribution

July 15, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, July 15, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period July 1 to July 31, 2015. The distribution will be payable on August 14, 2015 to unitholders of record at the close of business on July 31, 2015…. [Read More]

First National Mortgage Investment Fund announces June monthly distribution

June 15, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, June 15, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period June 1 to June 30, 2015. The distribution will be payable on July 15, 2015 to unitholders of record at the close of business on June 30, 2015…. [Read More]

First National Mortgage Investment Fund Announces May Monthly Distribution

May 15, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, May 15, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period May 1 to May 31, 2015. The distribution will be payable on June 15, 2015 to unitholders of record at the close of business on May 29,… [Read More]

First National Mortgage Investment Fund Announces April Monthly Distribution

April 15, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, April 15, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period April 1 to April 30, 2015. The distribution will be payable on May 15, 2015 to unitholders of record at the close of business on April 30,… [Read More]

First National Mortgage Investment Fund Announces March Monthly Distribution

March 16, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, March 16, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period March 1 to March 31, 2015. The distribution will be payable on April 15, 2015 to unitholders of record at the close of business on March 31,… [Read More]

First National Mortgage Investment Fund Announces February Monthly Distribution

February 17, 2015 By NewsWire Tagged With: TSX:FNM.UN

TORONTO, Feb. 17, 2015 /CNW/ – First National Mortgage Investment Fund (TSX: FNM.UN) (the “Fund”) today announced its monthly cash distribution of $0.05 per unit for the period February 1 to February 28, 2015. The distribution will be payable on March 16, 2015 to unitholders of record at the close of business on February 27,… [Read More]

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