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Copper Tip Energy Services
Copper Tip Energy


LOGiQ Asset Management Ltd. Declares Distributions


These translations are done via Google Translate

FOR: LOGIQ ASSET MANAGEMENT INC.
TSX SYMBOL: LGQ

Date issue: May 19, 2017
Time in: 5:00 PM e

Attention:

TORONTO, ONTARIO--(Marketwired - May 19, 2017) - LOGiQ Asset Management Ltd. (the "Manager") (TSX:LGQ) announces monthly distributions with record date of May 31, 2017 for each of the following funds:

/T/

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Distribution Distribution Amount per Amount Current Fund Name TSX Ticker Unit Annualized Price(i) Yield(i) ---------------------------------------------------------------------------- LOGiQ Advantage Bond Fund (Class A & F) MBB.UN $0.05833 $0.70 $8.81 7.95% ---------------------------------------------------------------------------- LOGiQ Advantage Oil & Gas Income Fund AOG.UN $0.01125 $0.135 $2.76 4.89% ---------------------------------------------------------------------------- LOGiQ Advantage VIP Income Fund AV.UN $0.035 $0.42 $10.57 3.97% ---------------------------------------------------------------------------- LOGiQ VIP Income Fund VIP.UN $0.035 $0.42 $9.65 4.35% ---------------------------------------------------------------------------- Low Volatility Canadian Equities Income Fund LOW.UN $0.05 $0.60 $9.70 6.19% ---------------------------------------------------------------------------- Voya Diversified Floating Rate Senior Loan Fund (Class A) IFL.UN $0.05 $0.60 $8.09 7.42% ---------------------------------------------------------------------------- Voya Diversified Floating Rate Senior Loan Fund (Class U) Not Listed U.S.$0.05 U.S.$0.60 U.S. $8.40 7.14% ---------------------------------------------------------------------------- Voya Floating Rate Senior Loan Fund (Class A) ISL.UN $0.0417 $0.50 $9.21 5.43% ---------------------------------------------------------------------------- Voya Floating Rate Senior Loan Fund (Class U) ISL.U U.S.$0.0417 U.S.$0.50 U.S. $8.24 6.07% ---------------------------------------------------------------------------- Voya High Income Floating Rate Fund (Class A) IHL.UN $0.05417 $0.65 $7.90 8.23% ---------------------------------------------------------------------------- Voya High Income Floating Rate Fund (Class U) Not Listed U.S.$0.05417 U.S.$0.65 U.S. $8.22 7.91% ---------------------------------------------------------------------------- (i)TSX price as at May 18, 2017. Prices and yields shown are for Class A units only unless specified otherwise.

/T/

Record dates and payment dates are as follows:

/T/

Record Date Payment Date May 31, 2017 June 14, 2017

/T/

For further information, please contact your financial advisor, call LOGiQ's Sales and Marketing support line at 416-583-2300 (toll-free at 1-800-513-3868), or visit our website at www.logiqasset.com.

The Manager is a wholly-owned subsidiary of LOGiQ Asset Management Inc. (TSX:LGQ). LOGiQ Asset Management Inc. is a diversified asset management company with a suite of retail mutual funds, closed end funds, hedge funds and segregated institutional funds. LOGiQ Asset Management is headquartered in Toronto.

- END RELEASE - 19/05/2017

For further information:
LOGiQ's Sales and Marketing support line
416-583-2300 (toll-free at 1-800-513-3868)
www.logiqasset.com

COMPANY:
FOR: LOGIQ ASSET MANAGEMENT INC.
TSX SYMBOL: LGQ

INDUSTRY: Financial Services - Investment Services and Trading RELEASE ID: 20170519CC0069

Press Release from Marketwired 1-866-736-3779

All press releases are written by the client and have NO affiliation with the news copy written by The Canadian Press. Any questions that arise due to the content or information provided in the press release should be directed to the company/organization issuing the release, not to The Canadian Press.



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