Ridgewood Canadian Investment Grade Bond Fund announced the estimated monthly distributions of the Fund for the First quarter of 2024 as follows: of $0.0530 each payable on February 15, 2024; March 15, 2024 & April 15, 2024. This distribution rate equates to an annualized distribution rate of 5.30% on an initial subscription price of $12.00 per unit.
Ridgewood Canadian Investment Grade Bond Fund
Equities
RIB.UN
CA76622W1077
Closed End Funds
1st Jan change | Capi. | |
---|---|---|
+7.27% | 13.11B | |
+10.78% | 9.55B | |
+1.08% | 5.61B | |
+8.42% | 5.6B | |
+7.24% | 5.26B | |
+31.93% | 5.22B | |
+25.58% | 4.77B | |
+2.65% | 4.09B | |
+5.75% | 4.05B |