TORONTO, July 18, 2016 /CNW/ – InnVest Real Estate Investment Trust (“InnVest”) (TSX:INN.UN) announced today that a distribution of $0.0333 per unit, payable on August 15, 2016, has been declared to the holders of record as at the close of business July 29, 2016. TRUST PROFILEInnVest Real Estate Investment Trust is an unincorporated open-ended real estate… [Read More]
InnVest Real Estate Investment Trust announces results from meetings of convertible debentureholders
TORONTO, July 18, 2016 /CNW/ – InnVest Real Estate Investment Trust (“InnVest”) (TSX:INN.UN) is pleased to announce that the resolutions considered at its meetings of debentureholders held on July 18, 2016 (the “Meetings”) were passed. The resolutions approve certain amendments to the indentures governing the redemption of each of InnVest’s series of convertible debentures, on… [Read More]
Allied Properties Real Estate Investment Trust Announces July Distribution
TORONTO, ONTARIO–(Marketwired – July 18, 2016) – Allied Properties REIT (TSX:AP.UN) announced today that the Trustees of the REIT have declared a distribution of $0.125 per unit for the month of July 2016, representing $1.50 per unit on an annualized basis. The distribution will be payable on August 15, 2016, to unitholders of record as… [Read More]
Nobel REIT announces July distribution
MONTREAL, July 18, 2016 /CNW Telbec/ – (TSXV: NEL.UN) Nobel Real Estate Investment Trust (the “REIT” or “Nobel REIT“) is pleased to announce today a cash distribution of $0.014165 per Trust Unit for the month of July 2016. The distribution will be payable on August 15, 2016 to unitholders of record as at July 29,… [Read More]
COMPASS Income Fund Distributions
CALGARY, July 18, 2016 /CNW/ – COMPASS Income Fund is pleased to announce that distributions for the third quarter of 2016 will be payable to unitholders of COMPASS Income Fund as follows: Record Date Payable Date Distribution PerTrust Unit July 31, 2016 August 15, 2016 $0.05 August 31, 2016 September 15, 2016 $0.05 September 30,… [Read More]
ACTIVEnergy Income Fund Distributions
CALGARY, July 18, 2016 /CNW/ – ACTIVEnergy Income Fund is pleased to announce that distributions for the third quarter of 2016 will be payable to unitholders of ACTIVEnergy Income Fund as follows: Record Date Payable Date Distribution Per Trust Unit July 31, 2016 August 15, 2016 $0.02 August 31, 2016 September 15, 2016… [Read More]
Global Real Estate Dividend Growers Corp. Distributions
CALGARY, July 18, 2016 /CNW/ – Global Real Estate Dividend Growers Corp. is pleased to announce that distributions for the third quarter of 2016 will be payable to shareholders of Global Real Estate Dividend Growers Corp. as follows: Record Date Payable Date Distribution Per Equity Share July 31, 2016 August 15, 2016 $0.05 August… [Read More]
MINT Income Fund Distributions
CALGARY, July 18, 2016 /CNW/ – MINT Income Fund is pleased to announce that distributions for the third quarter of 2016 will be payable to unitholders of MINT Income Fund as follows: Record Date Payable Date Distribution Per Trust Unit July 31, 2016 August 15, 2016 $0.04 August 31, 2016 September 15, 2016 $0.04… [Read More]
INDEXPLUS Income Fund Distributions
CALGARY, July 18, 2016 /CNW/ – INDEXPLUS Income Fund is pleased to announce that distributions for the third quarter of 2016 will be payable to unitholders of INDEXPLUS Income Fund as follows: Record Date Payable Date Distribution Per Trust Unit July 31, 2016 August 15, 2016 $0.05 August 31, 2016 September 15, 2016 $0.05 September… [Read More]
Pathfinder Income Fund Distributions
CALGARY, July 18, 2016 /CNW/ – Pathfinder Income Fund is pleased to announce that distributions for the third quarter of 2016 will be payable to unitholders of Pathfinder Income Fund as follows: Record Date Payable Date Distribution Per Trust Unit July 31, 2016 August 15, 2016 $0.05 August 31, 2016 September 15, 2016 $0.05 September… [Read More]
REIT INDEXPLUS Income Fund Distributions
CALGARY, July 18, 2016 /CNW/ – REIT INDEXPLUS Income Fund is pleased to announce that distributions for the third quarter of 2016 will be payable to unitholders of REIT INDEXPLUS Income Fund as follows: Record Date Payable Date Distribution Per Trust Unit July 31, 2016 August 15, 2016 $0.065 August 31, 2016 September 15, 2016… [Read More]
Tricon Announces Inclusion in New Real Estate Sector Under GICS
/NOT FOR DISTRIBUTION TO U.S. NEWSWIRE SERVICES OR FOR DISTRIBUTION IN THE UNITED STATES. ALL FIGURES IN US DOLLARS UNLESS INDICATED./ TORONTO, July 18, 2016 /CNW/ – Capital Group Inc. (“Tricon” or the “Company”, TSX:TCN) announced today that the Company will be reclassified from “Asset Management and Custody Banks” to “Diversified Real Estate Activities” under… [Read More]
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