Russell Investments Fixed Income Pool Announces Cash Distribution for the Months of May, June and July, Payable on May 25 2020, June 25, 2020, and July 27, 2020 Respectively
May 08, 2020 at 04:43 pm EDT
Russell Investments Fixed Income Pool announced cash distribution of $0.0292 per unit for the months of May, June and July and payable on respectively on May 25 2020, June 25, 2020, and July 27, 2020 Respectively. Record date are May 20, 2020, June 22, 2020 and July 22, 2020.