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Press release from CNW Group

Skylon Funds Announce Distributions For Month Ending July 31, 2011

Wednesday, July 20, 2011

Skylon Funds Announce Distributions For Month Ending July 31, 201109:57 EDT Wednesday, July 20, 2011TORONTO, July 20, 2011 /CNW/ - CI Investments Inc., as manager of each of the issuers named below (the Skylon Funds), announces the following distributions for the month ending July 31, 2011 payable on August 15, 2011 to unitholders of record as at July 29, 2011:Skylon  Fund     TSX Symbol    Distribution  Amount  Convertible & Yield Advantage Trust    CNV.UN    Cdn$0.1458 per unitHigh Yield & Mortgage Plus Trust    HYM.UN    Cdn$0.15625 per unitSignature Diversified Value Trust    SDF.UN    Cdn$0.0666 per unitSkylon Global Capital Yield Trust    SLP.UN    Cdn$0.1510 per unitSkylon Global Capital Yield Trust II    SPO.UN    Cdn$0.1510 per unitSkylon Growth & Income Trust    SKG.UN    Cdn$0.05833 per unitSkylon International Advantage Yield Trust         Series A units     SIA.UN    Cdn$0.1042 per unit  Series B units     SIA.U    US$0.0417 per unitYield Advantage Income Trust    YOU.UN    Cdn$0.0583 per unit  For further information: CI Investments Inc. (416) 364-1145 1-800-268-9374