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Criterion Investments Inc.

Criterion Investments Inc.

September 20, 2011 14:17 ET

Criterion Funds Announce Indicative Distributions

TORONTO, ONTARIO--(Marketwire - Sept. 20, 2011) - Criterion Investments Inc. announces the targeted quarterly distribution amounts for the funds listed below for the following twelve month period ending September 30, 2012.

Fund Distribution
Criterion Global Dividend Fund $0.1375 per unit per quarter ($0.55 per unit per annum)
Canadian Convertible Bond Fund $0.15 per unit per quarter ($0.60 per unit per annum)
Criterion REIT Income Fund $0.125 per unit per quarter ($0.50 per unit per annum)
Criterion Utility Plus Fund $0.125 per unit per quarter ($0.50 per unit per annum)

Notwithstanding this announcement, the amount of the distributions may vary from quarter to quarter, and there can be no assurance that the Fund will make any distributions in any particular quarter or quarters.

For further information, please visit www.criterioninvestments.com.

Contact Information

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    Rob MacNiven
    Investor Relations
    (416) 642-5998 or 1-888-642-5998