Blue Ribbon Income Fund Announces Monthly Distributions for the Month of October to December 2020, Payable on November 13, 2020, December 14, 2020 and January 15, 2021 Respectively
October 23, 2020 at 01:15 pm EDT
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Blue Ribbon Income Fund announced distributions in the amount of $0.04 per unit per month for record dates from October to December 2020. Record Dates are
October 30, 2020, November 30, 2020 and December 31, 2020 respectively. Payment dates are November 13, 2020, December 14, 2020 and January 15, 2021 respectively.
Blue Ribbon Income Fund (the Fund) is a Canada-based mutual fund trust. The Fundâs investment objectives are to provide unitholders with high monthly distributions, together with the opportunity for capital appreciation. The Company's investment portfolio includes consumer staples, consumer discretionary; financial; industrial; materials; utilities; real estate, and communication services. The Fund manages a portfolio of publicly listed or traded securities, including income trusts, royalty trusts, real estate investment trusts, common shares, preferred securities, and debt instruments. Its investment products include ETFs, Split Share Funds, and Other Toronto Stock Exchange (TSX) Traded Funds. The Company's trustee is Computershare Trust Company of Canada. Bloom Investment Counsel, Inc. manages the fund's portfolio.
Blue Ribbon Income Fund Announces Monthly Distributions for the Month of October to December 2020, Payable on November 13, 2020, December 14, 2020 and January 15, 2021 Respectively