CI Global Asset Management announced the following regular cash distributions for the month ending February 28, 2022 in respect of the CI Canadian Convertible Bond ETF is $0.0400. In all cases, the distribution will be paid on or before February 28, 2022 to unitholders of record on February 22, 2022. The ex-dividend date for all ETFs is February 18, 2022, with the exception of CI High Interest Savings ETF, which has an ex-dividend date of February 22, 2022.