Canso Credit Income Fund Announces Distribution for Class A Unit and Per Class F Unit, Payable on June 10, 2024, July 10, 2024, August 12, 2024, September 10, 2024, October 10, 2024, November 11, 2024, December 10, 2024, January 10, 2025, February 10, 2025, March 10, 2025 and April 10, 2025
April 10, 2024 at 04:00 pm EDT
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Canso Credit Income Fund to monthly distribution in the amount of $0.04166 per Class A Unit and per Class F Unit on or before each of the Payment Dates to unitholders of record of the Fund at the close of business on the respective Distribution Record Dates. Distribution Record Date is April 30, 2024, May 31, 2024, June 27, 2024, July 31, 2024, August 30, 2024, September 27, 2024, October 31, 2024, November 29, 2024, December 31, 2024, January 31, 2025, February 28, 2025 and March 31, 2025. Payment Date is June 10, 2024, July 10, 2024, August 12, 2024, September 10, 2024, October 10, 2024, November 11, 2024, December 10, 2024, January 10, 2025, February 10, 2025, March 10, 2025 and April 10, 2025.
Canso Credit Income Fund (the Fund) is a Canada-based closed-end fund. The Fund's investment objective is to maximize total returns for unitholders while reducing risk and provide unitholders with monthly cash distributions by taking long and short positions in a portfolio of primarily of corporate bonds and other income securities. The Fund's portfolio manager is Canso Investment Counsel Ltd.
Canso Credit Income Fund Announces Distribution for Class A Unit and Per Class F Unit, Payable on June 10, 2024, July 10, 2024, August 12, 2024, September 10, 2024, October 10, 2024, November 11, 2024, December 10, 2024, January 10, 2025, February 10, 2025, March 10, 2025 and April 10, 2025