EnerVest Diversified Income Trust
TSX : EIT.UN

EnerVest Diversified Income Trust

October 18, 2006 09:00 ET

EnerVest Diversified Income Trust Announces Results of Exchange Offer

CALGARY, ALBERTA--(CCNMatthews - Oct. 17, 2006) -

Not for Distribution to U.S. Newswire Services or for Dissemination in the United States of America.

EnerVest Diversified Income Trust (TSX:EIT.UN) ("EnerVest") announces the results of its exchange offer (the "Exchange Offer") pursuant to its preliminary short form prospectus dated September 12, 2006. Through the Exchange Offer, EnerVest offered to issue EnerVest units in exchange for units of selected income, royalty and real estate investment trusts, limited partnerships and similar issuers (the "Issuers") all of which are listed on the Toronto Stock Exchange (the "TSX"). Under the Exchange Offer (assuming no acceptances are withdrawn) EnerVest will issue 102,915,061 Units at an aggregate value of approximately $ 706,000,000.

The number of EnerVest Units to be issued is based on Exchange Ratios determined by dividing the weighted average trading prices of the Issuers' units over the 20 trading days commencing on September 18, 2006 and ending on October 16, 2006 by the weighted average trading price of the EnerVest Units on the TSX during the same period. The weighted average trading price of EnerVest Units over the 20 trading days ended on October 16, 2006 was $6.86071. The closing TSX market price per EnerVest Unit on October 16, 2006 was $6.94.

EnerVest Diversified Management Inc. has agreed to reimburse all expenses related to the Exchange Offer incurred by EnerVest, including any fees payable to the dealer manager and the soliciting dealers, in 24 quarterly installments, together with interest, beginning January 1, 2007.

The following table identifies the weighted average trading prices of the units of the Issuers, the number of Issuer units to be acquired by EnerVest, the Exchange Ratios used to determine the EnerVest Units to be issued for each Issuer unit, and the number of EnerVest Units to be issued.



Exchange
Ratio
Weighted Issuer (EnerVest EnerVest
Average Units Units per Units
Price to be Issuer to be
ISSUER ($) Acquired Unit) Issued
------------------------------------------------------------------------

OIL & GAS
Conventional Oil & Gas


Advantage Energy Income Fund 13.61819 1,131,654 1.98495 2,246,276

ARC Energy Trust 25.94301 692,468 3.78139 2,618,491

Baytex Energy Trust 22.00650 327,799 3.20761 1,051,451

Bonavista Energy Trust 31.15733 826,596 4.54142 3,753,919

Bonterra Energy Income Trust 32.23258 32,629 4.69814 153,295

Canetic Resources Trust 18.50426 1,297,999 2.69713 3,500,872

Crescent Point Energy Trust 18.00760 384,605 2.62474 1,009,488

Daylight Resources Trust 11.91710 1,108,656 1.73701 1,925,746

Enerplus Resources Fund 55.16911 21,850 8.04131 175,702

Enterra Energy Trust 10.12701 157,258 1.47609 232,126

Fairborne Energy Trust 11.59324 400,802 1.68980 677,275

Focus Energy Trust 21.32906 94,627 3.10887 294,183

Harvest Energy Trust 29.75151 484,765 4.33651 2,102,188

NAL Oil & Gas Trust 16.94700 299,141 2.47015 738,923

Paramount Energy Trust 16.24077 756,704 2.36721 1,791,277

Pengrowth Energy Trust 21.40352 1,382,235 3.11972 4,312,186

Penn West Energy Trust 39.78157 650,406 5.79846 3,771,353

Peyto Energy Trust 20.25110 160,305 2.95175 473,180

PrimeWest Energy Trust 27.49080 408,036 4.00699 1,634,996

Progress Energy Trust 15.08774 313,880 2.19915 690,269

Shiningbank Energy Income
Fund 17.93535 152,374 2.61421 398,337

Sound Energy Trust 6.46035 435,395 0.94164 409,985

Thunder Energy Trust 7.12253 295,863 1.03816 307,153

Trilogy Energy Trust 15.59338 710,492 2.27285 1,614,841

True Energy Trust 10.54093 1,179,424 1.53642 1,812,090

Vault Energy Trust 6.84727 613,362 0.99804 612,159

Vermilion Energy Trust 33.20620 6,311 4.84005 30,545

Zargon Energy Trust 31.58432 20,099 4.60365 92,528


Unconventional Oil & Gas


Canadian Oil Sands Trust 29.33640 1,309,450 4.27600 5,599,208

Freehold Royalty Trust 18.71383 165,827 2.72768 452,322

Provident Energy Trust 12.88353 979,051 1.87787 1,838,530


BUSINESS TRUSTS
Consumer Services/Restaurants


A&W Revenue Royalties Income
Fund 16.83069 2,000 2.45320 4,906

Boston Pizza Royalties Income
Fund 19.11875 31 2.78670 86

Consumers' Waterheater Income
Fund (The) 15.94771 103,966 2.32450 241,668

Gateway Casinos Income Fund 17.69265 233,899 2.57884 603,188

UE Waterheater Income Fund 14.91139 191,896 2.17345 417,076


Media


ACS Media Income Fund 9.28611 146,314 1.35352 198,038

Aeroplan Income Fund 14.99530 136,509 2.18568 298,364

CanWest MediaWorks Income
Fund 7.68114 162,714 1.11958 182,171

Cineplex Galaxy Income Fund 13.92382 18,374 2.02950 37,290

Cinram International Income
Fund 22.19121 144,937 3.23454 468,804

Osprey Media Income Fund 6.44155 111,802 0.93890 104,970

Yellow Pages Income Fund 14.27005 665,895 2.07997 1,385,041


Retailing


AutoCanada Income Fund 12.15405 23,000 1.77154 40,745

North West Company Fund 17.61265 243,006 2.56718 623,840

Sleep Country Canada Income
Fund 23.30446 10,580 3.39680 35,938


Consumer Staples


Arctic Glacier Income Fund 13.39213 21,648 1.95200 42,256

Connors Bros. Income Fund 10.83327 356,059 1.57903 562,227

KCP Income Fund 9.53015 237,490 1.38909 329,894

Rogers Sugar Income Fund 4.33651 176,854 0.63208 111,785


Materials


Canexus Income Fund 7.67855 108,469 1.11921 121,399

Canfor Pulp Income Fund 11.55456 162,715 1.68416 274,038

Chemtrade Logistics Income
Fund 10.72962 50,220 1.56392 78,540

Fording Canadian Coal Trust 28.52886 560,689 4.15830 2,331,513

Great Lakes Carbon Income
Fund 9.82469 20,276 1.43202 29,035

Labrador Iron Ore Royalty
Income Fund 26.41460 123,020 3.85013 473,642

Noranda Income Fund 11.35152 76,702 1.65457 126,908

Royal Utilities Income Fund 11.88362 29,963 1.73213 51,899

SFK Pulp Fund 4.27588 111,692 0.62324 69,610

Supremex Income Fund 9.98293 1,286 1.45509 1,871

TimberWest Forest Corp. 14.11615 132,466 2.05754 272,554


Healthcare


CML Healthcare Income Fund 15.71534 165,710 2.29063 379,580

Diversified Financials

CI Financial Income Fund 29.02238 699,569 4.23023 2,959,337

Davis + Henderson Income Fund 19.08369 214,395 2.78159 596,358

First National Financial
Income Fund 12.60948 51,303 1.83793 94,291

GMP Capital Trust 20.12664 831,486 2.93361 2,439,255

Morneau Sobeco Income Fund 12.65015 21,763 1.84385 40,127

Information Technology

Teranet Income Fund 10.54758 1,364,342 1.53739 2,097,525


PIPELINE & UTILITIES
Energy


AltaGas Income Trust 27.95434 94,788 4.07455 386,218

Duke Energy Income Fund 12.10272 121,345 1.76406 214,059

Enbridge Income Fund 13.57344 6,967 1.97843 13,783

Essential Energy Services
Trust 8.04282 745,688 1.17230 874,170

Fort Chicago Energy Partners
L.P. 11.68924 290,415 1.70379 494,806

Inter Pipeline Fund 10.22199 1,129,500 1.48993 1,682,875

Keyera Facilities Income Fund 20.64068 224,194 3.00853 674,494

Parkland Income Fund 30.34424 49,617 4.42290 219,451

Pembina Pipeline Income Fund 17.33931 147,990 2.52733 374,019

Taylor NGL Limited
Partnership 9.58876 103,899 1.39763 145,212


Energy Equipment & Services


Bonnett's Energy Services
Trust 20.68728 49,041 3.01533 147,874

Builders Energy Services
Trust 15.11082 201,507 2.20252 443,823

Cathedral Energy Services
Income Trust 9.01654 378,507 1.31423 497,445

CCS Income Trust 35.65626 180,447 5.19717 937,813

Eveready Income Fund 6.73278 387,058 0.98135 379,839

Peak Energy Services Trust 8.68503 343,900 1.26591 435,346

Precision Drilling Trust 33.05263 1,098,961 4.81767 5,294,431

Total Energy Services Trust 14.08866 275,203 2.05353 565,137

Trinidad Energy Services
Income Trust 14.10397 1,188,767 2.05576 2,443,819

Wellco Energy Services Trust 9.47703 233,009 1.38135 321,866


Utilities


Algonquin Power Income Fund 10.22989 220,667 1.49108 329,032

Boralex Power Income Fund 10.59686 72,930 1.54457 112,645

Calpine Power Income Fund 10.06132 253,015 1.46651 371,049

Energy Savings Income Fund 16.88087 346,198 2.46051 851,823

EPCOR Power L.P. 31.98899 9,983 4.66264 46,547

Gaz Metro Limited Partnership 17.64399 6,964 2.57174 17,909

Great Lakes Hydro Income Fund 19.15493 78,503 2.79198 219,178

Innergex Power Income Fund 14.11172 25,516 2.05689 52,483

Macquarie Power &
Infrastructure Income Fund 11.38837 104,182 1.65994 172,935

Northland Power Income Fund 15.02929 250,770 2.19063 549,344

TransAlta Power, L.P. 7.78238 346,386 1.13434 392,919


INDUSTRIALS
Capital Goods


Ag Growth Income Fund 15.01245 5,200 2.18818 11,378

Badger Income Fund 16.69228 27,916 2.43302 67,920

Foremost Income Fund 19.22929 57,195 2.80281 160,306

Superior Plus Income Fund 12.52174 395,409 1.82514 721,676

Vicwest Income Fund 17.27261 43,885 2.51761 110,485

Wajax Income Fund 34.52868 104,754 5.03281 527,206


Commercial Services & Supplies


Atlas Cold Storage Income
Trust 7.37705 212,000 1.07526 227,955

BFI Canada Income Fund 29.29991 66,000 4.27068 281,864

Newalta Income Fund 32.15300 1,080,661 4.68654 5,064,561

Resolve Business Outsourcing
Income Fund 8.61399 232,400 1.25555 291,789

Trimac Income Fund 10.25248 22,534 1.49438 33,674

Versacold Income Fund 9.65183 339,949 1.40683 478,250


Transportation


Contrans Income Fund 14.19726 47,288 2.06936 97,855

Jazz Air Income Fund 9.34192 368,460 1.36166 501,717

Livingston International
Income Fund 23.05667 60,827 3.36068 204,420

TransForce Income Fund 16.88895 49,506 2.46169 121,868

Westshore Terminals Income
Fund 10.16840 7,233 1.48212 10,720


Telecommunication Services


Bell Aliant Regional
Communications Income Fund 34.57310 549,575 5.03929 2,769,467

Bell Nordiq Income Fund 18.41925 51,219 2.68474 137,509


REAL ESTATE INVESTMENT TRUSTS


Alexis Nihon Real Estate
Investment Trust 13.56713 309 1.97751 611

Allied Properties Real Estate
Investment Trust 18.84011 42,000 2.74609 115,335

Boardwalk Real Estate
Investment Trust 32.50934 5,386 4.73848 25,521

Calloway Real Estate
Investment Trust 27.04175 149,517 3.94154 589,327

Canadian Apartment Properties
REIT 18.33957 30,017 2.67313 80,239

Canadian Hotel Income
Properties REIT 13.44523 48,811 1.95974 95,656

Canadian Real Estate
Investment Trust 26.73254 40,849 3.89647 159,166

Chartwell Seniors Housing
REIT 14.03595 289,183 2.04584 591,622

Cominar Real Estate
Investment Trust 20.73077 24,925 3.02167 75,315

Crombie Real Estate
Investment Trust 11.89070 18,968 1.73316 32,874

Dundee Real Estate Investment
Trust 33.81073 44,159 4.92817 217,623

H&R Real Estate Investment
Trust 23.20752 151,757 3.38267 513,343

InnVest Real Estate
Investment Trust 13.08049 68,047 1.90658 129,737

IPC US Real Estate Investment
Trust 10.96974 111,126 1.59892 177,681

Lanesborough Real Estate
Investment Trust 5.77743 6,459 0.84210 5,439

Legacy Hotels Real Estate
Investment Trust 9.53003 786,882 1.38907 1,093,034

Morguard Real Estate
Investment Trust 11.19157 192,766 1.63125 314,449

Northern Property Real Estate
Investment Trust 23.13568 932 3.37220 3,142

Primaris Retail Real Estate
Investment Trust 18.23031 107,519 2.65721 285,700

Retirement Residences Real
Estate Investment Trust 8.12515 451,291 1.18430 534,463

Retrocom Mid-Market Real
Estate Investment Trust 6.00285 163,678 0.87496 143,211

RioCan Real Estate Investment
Trust 24.42586 458,967 3.56025 1,634,037

Royal Host Real Estate
Investment Trust 6.16875 115,944 0.89914 104,249

Sunrise Senior Living Real
Estate Investment Trust 10.15708 43,000 1.48047 63,660


The following table indicates the number of units of each Issuer held by EnerVest on October 16, 2006, the number of deposited units of each Issuer which EnerVest will acquire on the closing date (scheduled to close on or before October 24, 2006, the "Closing Date"), assuming no acceptances are withdrawn, and the number of units of each Issuer that would be held by EnerVest, after giving effect to the acquisition of such units.



Issuer
Issuer Units Total
Units to be Issuer
ISSUER Held Acquired Units
------------------------------------------------------------------------

OIL & GAS
Conventional Oil & Gas


Advantage Energy Income Fund - 1,131,654 1,131,654

ARC Energy Trust 1,269,367 692,468 1,961,835

Baytex Energy Trust - 327,799 327,799

Bonavista Energy Trust 550,011 826,596 1,376,607

Bonterra Energy Income Trust - 32,629 32,629

Canetic Resources Trust 2,347,768 1,297,999 3,645,767

Crescent Point Energy Trust 1,361,034 384,605 1,745,639

Daylight Resources Trust 1,600,627 1,108,656 2,709,283

Enerplus Resources Fund 466,745 21,850 488,595

Enterra Energy Trust - 157,258 157,258

Fairborne Energy Trust 608,600 400,802 1,009,402

Focus Energy Trust 1,007,594 94,627 1,102,221

Harvest Energy Trust 446,106 484,765 930,871

NAL Oil & Gas Trust - 299,141 299,141

Paramount Energy Trust 700,683 756,704 1,457,387

Pengrowth Energy Trust - 1,382,235 1,382,235

Penn West Energy Trust 467,202 650,406 1,117,608

Peyto Energy Trust 545,302 160,305 705,607

PrimeWest Energy Trust - 408,036 408,036

Progress Energy Trust 1,544,777 313,880 1,858,657

Shiningbank Energy Income Fund - 152,374 152,374

Sound Energy Trust - 435,395 435,395

Thunder Energy Trust - 295,863 295,863

Trilogy Energy Trust 457,350 710,492 1,167,842

True Energy Trust - 1,179,424 1,179,424

Vault Energy Trust 1,473,700 613,362 2,087,062

Vermilion Energy Trust 1,465,652 6,311 1,471,963

Zargon Energy Trust - 20,099 20,099


Unconventional Oil & Gas


Canadian Oil Sands Trust 3,285,215 1,309,450 4,594,665

Freehold Royalty Trust 629,993 165,827 795,820

Provident Energy Trust - 979,051 979,051


BUSINESS TRUSTS
Consumer Services/Restaurants


A&W Revenue Royalties Income Fund 493,082 2,000 495,082

Boston Pizza Royalties Income Fund 386,344 31 386,375

Consumers' Waterheater Income Fund
(The) 1,159,814 103,966 1,263,780

Gateway Casinos Income Fund 1,059,403 233,899 1,293,302

UE Waterheater Income Fund 1,042,006 191,896 1,233,902


Media


ACS Media Income Fund 1,292,217 146,314 1,438,531

Aeroplan Income Fund - 136,509 136,509

CanWest MediaWorks Income Fund 2,385,600 162,714 2,548,314

Cineplex Galaxy Income Fund 890,314 18,374 908,688

Cinram International Income Fund - 144,937 144,937

Osprey Media Income Fund - 111,802 111,802

Yellow Pages Income Fund 6,277,571 665,895 6,943,466


Retailing


AutoCanada Income Fund - 23,000 23,000

North West Company Fund - 243,006 243,006

Sleep Country Canada Income Fund - 10,580 10,580


Consumer Staples


Arctic Glacier Income Fund - 21,648 21,648

Connors Bros. Income Fund 2,307,830 356,059 2,663,889

KCP Income Fund - 237,490 237,490

Rogers Sugar Income Fund 2,665,644 176,854 2,842,498


Materials


Canexus Income Fund - 108,469 108,469

Canfor Pulp Income Fund - 162,715 162,715

Chemtrade Logistics Income Fund 909,242 50,220 959,462

Fording Canadian Coal Trust - 560,689 560,689

Great Lakes Carbon Income Fund 1,876,724 20,276 1,897,000

Labrador Iron Ore Royalty Income Fund 1,135,310 123,020 1,258,330

Noranda Income Fund 966,085 76,702 1,042,787

Royal Utilities Income Fund - 29,963 29,963

SFK Pulp Fund 2,021,855 111,692 2,133,547

Supremex Income Fund 1,500,000 1,286 1,501,286

TimberWest Forest Corp. - 132,466 132,466


Healthcare


CML Healthcare Income Fund 1,388,993 165,710 1,554,703

Diversified Financials

CI Financial Income Fund 2,284,300 699,569 2,983,869

Davis + Henderson Income Fund 1,611,825 214,395 1,826,220

First National Financial Income Fund - 51,303 51,303

GMP Capital Trust - 831,486 831,486

Morneau Sobeco Income Fund - 21,763 21,763

Information Technology

Teranet Income Fund - 1,364,342 1,364,342


PIPELINE & UTILITIES
Energy


AltaGas Income Trust 2,644,963 94,788 2,739,751

Duke Energy Income Fund 175,000 121,345 296,345

Enbridge Income Fund - 6,967 6,967

Essential Energy Services Trust 900,000 745,688 1,645,688

Fort Chicago Energy Partners L.P. 4,176,860 290,415 4,467,275

Inter Pipeline Fund 5,037,089 1,129,500 6,166,589

Keyera Facilities Income Fund 2,598,380 224,194 2,822,574

Parkland Income Fund - 49,617 49,617

Pembina Pipeline Income Fund 714,299 147,990 862,289

Taylor NGL Limited Partnership 3,475,718 103,899 3,579,617


Energy Equipment & Services


Bonnett's Energy Services Trust - 49,041 49,041

Builders Energy Services Trust - 201,507 201,507

Cathedral Energy Services Income Trust - 378,507 378,507

CCS Income Trust - 180,447 180,447

Eveready Income Fund - 387,058 387,058

Peak Energy Services Trust - 343,900 343,900

Precision Drilling Trust - 1,098,961 1,098,961

Total Energy Services Trust - 275,203 275,203

Trinidad Energy Services Income Trust - 1,188,767 1,188,767

Wellco Energy Services Trust - 233,009 233,009


Utilities


Algonquin Power Income Fund - 220,667 220,667

Boralex Power Income Fund - 72,930 72,930

Calpine Power Income Fund 3,019,653 253,015 3,272,668

Energy Savings Income Fund 1,569,630 346,198 1,915,828

EPCOR Power L.P. - 9,983 9,983

Gaz Metro Limited Partnership - 6,964 6,964

Great Lakes Hydro Income Fund 1,546,483 78,503 1,624,986

Innergex Power Income Fund 1,439,450 25,516 1,464,966

Macquarie Power & Infrastructure Income
Fund 773,631 104,182 877,813

Northland Power Income Fund - 250,770 250,770

TransAlta Power, L.P. 2,352,328 346,386 2,698,714


INDUSTRIALS
Capital Goods


Ag Growth Income Fund - 5,200 5,200

Badger Income Fund 641,693 27,916 669,609

Foremost Income Fund - 57,195 57,195

Superior Plus Income Fund 2,421,283 395,409 2,816,692

Vicwest Income Fund - 43,885 43,885

Wajax Income Fund - 104,754 104,754


Commercial Services & Supplies


Atlas Cold Storage Income Trust - 212,000 212,000

BFI Canada Income Fund 2,225,985 66,000 2,291,985

Newalta Income Fund 1,493,300 1,080,661 2,573,961

Resolve Business Outsourcing Income
Fund 2,000,000 232,400 2,232,400

Trimac Income Fund - 22,534 22,534

Versacold Income Fund - 339,949 339,949


Transportation


Contrans Income Fund 1,056,343 47,288 1,103,631

Jazz Air Income Fund - 368,460 368,460

Livingston International Income Fund 1,052,708 60,827 1,113,535

TransForce Income Fund - 49,506 49,506

Westshore Terminals Income Fund 2,580,844 7,233 2,588,077


Telecommunication Services


Bell Aliant Regional Communications
Income Fund 1,327,400 549,575 1,876,975

Bell Nordiq Income Fund - 51,219 51,219


REAL ESTATE INVESTMENT TRUSTS


Alexis Nihon Real Estate Investment
Trust 1,807,645 309 1,807,954

Allied Properties Real Estate
Investment Trust 848,150 42,000 890,150

Boardwalk Real Estate Investment Trust 1,023,275 5,386 1,028,661

Calloway Real Estate Investment Trust - 149,517 149,517

Canadian Apartment Properties Real
Estate Investment Trust - 30,017 30,017

Canadian Hotel Income Properties REIT 507,596 48,811 556,407

Canadian Real Estate Investment Trust 1,318,734 40,849 1,359,583

Chartwell Seniors Housing Real Estate
Investment Trust 1,414,112 289,183 1,703,295

Cominar Real Estate Investment Trust 544,411 24,925 569,336

Crombie Real Estate Investment Trust 1,600,000 18,968 1,618,968

Dundee Real Estate Investment Trust 1,652,318 44,159 1,696,477

H&R Real Estate Investment Trust 1,256,350 151,757 1,408,107

InnVest Real Estate Investment Trust - 68,047 68,047

IPC US Real Estate Investment Trust - 111,126 111,126

Lanesborough Real Estate Investment
Trust - 6,459 6,459

Legacy Hotels Real Estate Investment
Trust - 786,882 786,882

Morguard Real Estate Investment Trust - 192,766 192,766

Northern Property Real Estate
Investment Trust 985,694 932 986,626

Primaris Retail Real Estate Investment
Trust 424,783 107,519 532,302

Retirement Residences Real Estate
Investment Trust 696,482 451,291 1,147,773

Retrocom Mid-Market Real Estate
Investment Trust 1,366,094 163,678 1,529,772

RioCan Real Estate Investment Trust 1,615,577 458,967 2,074,544

Royal Host Real Estate Investment Trust - 115,944 115,944

Sunrise Senior Living Real Estate
Investment Trust 4,290,900 43,000 4,333,900


The above noted results of the Exchange Offer will be incorporated in a final short form prospectus which will be sent to all unitholders ("Holders") who have participated in the Exchange Offer.

Distributions by EnerVest are paid on or about the 15th day of each month to Unitholders of record on the last TSX trading day of the preceding month. Holders who accept the Exchange Offer will receive EnerVest's October distribution to be paid on November 15, 2006. Holders of units of Issuers who accept the Exchange Offer will continue to be holders of record up to the Closing Date and accordingly will be entitled to receive all distributions in respect of such units of Issuers up to and including the Closing Date, set for October 24, 2006.

GMP Securities L.P. is acting as dealer managers in connection with this Exchange Offer.

The Toronto Stock Exchange has not reviewed and does not accept responsibility for the adequacy or accuracy of this news release.

Contact Information

  • EnerVest Diversified Management Inc.
    Kevin W. Wolfe
    President & Chief Executive Officer
    (403) 571-5550 or Toll Free: 1-800-459-3384
    or
    EnerVest Diversified Management Inc.
    J. Ward Mallabone
    Chief Operating Officer
    (403) 571-5550 or Toll Free: 1-800-459-3384
    or
    EnerVest Diversified Management Inc.
    Kristie Allen
    Investor Relations
    (403) 571-5550 or Toll Free: 1-800-459-3384
    or
    EnerVest Diversified Management Inc.
    Linda Koroluk
    Investor Relations
    (403) 571-5550 or Toll Free: 1-800-459-3384
    or
    EnerVest Diversified Management Inc.
    Gary Sharpe
    Investor Relations
    (403) 571-5550 or Toll Free: 1-800-459-3384
    (403) 571-5554 (FAX)
    or
    EnerVest Diversified Management Inc.
    Suite 2800, 700-9th Avenue S.W.
    Calgary, Alberta, T2P 3V4
    Email: info@enervest.com
    Website: www.enervest.com
    or
    GMP Securities L.P.
    Matthew Sobolewski
    Investment Banking
    (403) 543-3030