Convertible Debentures Income Fund


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The Fund¿s investment objectives are: (i) to provide holders of Units (¿Unitholders¿) with monthly tax-advantaged distributions consisting initially primarily of returns of capital targeted to be $0.07 per Unit ($0.84 per annum representing an annual cash distribution of 7% based on the $12.00 per Unit issueprice). (ii) to maximize total return for Unitholders; and (iii) to preserve capital

Contact Information

Main Phone: 877-849-2004
Address: 1010 Sherbrooke Street West
Address 2: Suite 1700
State: QC
City / Town: Montreal
Country: Canada
Postal Code: H3A 2R7

Issuer Information

Exchange: TSX
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