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Toronto, Ontario–(Newsfile Corp. – September 30, 2021) – Algonquin Capital today announced the September 2021 distribution for the Algonquin Fixed Income 2.0 Fund, which has a policy to pay quarterly distributions. The distribution will be paid on October 8, 2021 to unitholders of record as of September 30, 2021.

The distribution amounts per unit for each Series are as follows:

Series FundServ Code Distribution per Unit ($)
F AGQ301 0.41
A AGQ303 0.30
F Founders AGQ305 0.50

 

About Algonquin Capital Corporation

Algonquin Capital Corporation (“Algonquin”) is a boutique Canadian fixed income investment manager. Algonquin was founded in 2014 and offers fixed income strategies focused on capital preservation while producing strong risk-adjusted returns.

For more information, please contact:

Raj Tandon
[email protected]

NOT FOR DISTRIBUTION TO U.S. NEWSWIRE SERVICES OR FOR DISSEMINATION IN THE UNITED STATES.

To view the source version of this press release, please visit https://www.newsfilecorp.com/release/98137

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