Purpose Floating Rate Income Fund Announces Distribution for the Month of September 2019, Payable on October 07, 2019
September 17, 2019 at 06:08 pm EDT
Purpose Floating Rate Income Fund announced distribution of CAD 0.0412 per unit and CAD 0.0472 on Non-Currency Hedged
and USD 0.0493 on Non-Currency Hedged USD for the month of September 2019, payable on October 07, 2019, with a record date of September 26, 2019. The ex-distribution date is September 25, 2019.