M SPLIT CORP. Monthly Dividend Declared for Class I Preferred Shares

(TSX:XMF.A),(TSX:XMF-A),(TSX:XMF.PR.B),(TSX:XMF-PB),(TSX:XMF.PR.C),(TSX:XMF-PC), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — M Split Corp. (“M Split”) declares its monthly distribution of $0.03125 per share ($0.375 annually) for Class I Preferred shareholders. The Class I Preferred share dividends are paid at an annual rate of 7.50% based on the $5 notional issue price. Distributions are payable June 10, 2025 […]

TDb SPLIT CORP. Regular Monthly Dividend Declaration for Class A & Priority Equity Share

(TSX:XTD),(TSX:XTD.PR.A),(TSX:XTD-PA), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — TDb Split Corp. (“TDb Split”) declares its regular monthly distribution of $0.05000 for each Class A share ($0.60 annualized) and $0.05833 for each Priority Equity share ($0.700 annually). Distributions are payable June 10, 2025 to shareholders on record as at May 30, 2025. Since inception, Class A

CANADIAN LIFE COMPANIES SPLIT CORP. Declares Class A & Preferred Share Dividend

(TSX:LFE),(TSX:LFE.PR.B),(TSX:LFE-PB), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — Canadian Life Companies Split Corp. (the “Company”) declares its monthly distribution of $0.10000 for each Class A share ($1.20 annualized) and $0.05833 for each Preferred share ($0.700 annualized). Distributions are payable June 10, 2025 to shareholders on record as at May 30, 2025. Since inception Class A

Monthly Distribution Declared for Quadravest Preferred Split Share ETF

(TSX:PREF), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — Quadravest Capital Management Inc. (the “Manager') is pleased to declare a monthly distribution for Quadravest Preferred Split Share ETF (“Preferred ETF”) as follows: Amount Per Unit: $0.05833 CAD Record Date: May 30, 2025 Payment Date: June 10, 2025 The monthly distribution per unit represents a total of

Dividend 15 Split Corp. Monthly Dividend Declaration for Class A & Preferred Share

(TSX:DFN.PR.A),(TSX:DFN),(TSX:DFN-PA), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — Dividend 15 Split Corp. (The “Company”) declares its monthly distribution of $0.10000 for each Class A share ($1.20 annualized) and $0.05833 for each Preferred share ($0.700 annually). Distributions are payable June 10, 2025 to shareholders on record as at May 30, 2025. Since inception Class A shareholders

DIVIDEND SELECT 15 CORP. Declares Monthly Dividend

(TSX:DS), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — Dividend Select 15 Corp. (The “Company”) declares its monthly distribution of $0.05300 per Equity share. The distribution is payable June 10, 2025 to shareholders on record as of May 30, 2025. Under the distribution policy announced in September 2014, the monthly dividend payable on the Equity shares

US FINANCIAL 15 SPLIT CORP. Preferred Dividend Declared

(TSX:FTU),(TSX:FTU.PR.B),(TSX:FTU-PB), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — US Financial 15 Split Corp (“US Financial 15”) declares its monthly distribution of $0.05817 for each Preferred share, or 10.00% annually based on the previous month end net asset value. Distributions are payable June 10, 2025 to shareholders on record as at May 30, 2025. US Financial

North American Financial 15 Split Corp. Monthly Dividend Declaration for Class A & Preferred Share

(TSX:FFN),(TSX:FFN-PR.A),(TSX:FFN-PA), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — North American Financial 15 Split Corp. (The “Company”) declares its regular monthly distribution of $0.11335 for each Class A share ($1.3602 annualized) and $0.07292 for each Preferred share ($0.875 annually). Distributions are payable June 10, 2025 to shareholders on record as at May 30, 2025. Since inception

FINANCIAL 15 SPLIT CORP. Monthly Dividend Declaration for Class A & Preferred Share

(TSX:FTN),(TSX:FTN.PR.A),(TSX:FTN-PA), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — Financial 15 Split Corp. (“Financial 15”) declares its regular monthly distribution of $0.12570 for each Class A share ($1.51 annualized) and $0.07083 for each Class A share ($1.51 annualized) and $0.07083 for each Preferred share ($0.850 annually). Distributions are payable June 10, 2025 to shareholders on record

Income Financial Declares Monthly Distribution

(TSX:INC.UN),(TSX:INC-UN), TORONTO, May 21, 2025 (GLOBE NEWSWIRE) — Income Financial Trust (“Income Financial”) declares its monthly distribution of $0.06642 per unit. The distribution is payable June 10, 2025 to unit holders on record as at May 30, 2025. Under the distribution policy announced on November 18, 2013, the monthly distribution is determined by applying a

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