Faircourt Asset Management Inc. Announces September Distributions
TORONTO, Sept. 24, 2021 (GLOBE NEWSWIRE) — Faircourt Asset Management Inc., as Manager of the Faircourt Funds (NEO:FGX), (NEO:FCS.UN), is pleased to announce the monthly distributions payable on the Shares and Trust Units of the below listed Funds.
|Faircourt Funds||Trading Symbol||Distribution Amount (per share/unit)||Ex-Dividend Date||Record Date||Payable Date|
|Faircourt Gold Income Corp.||FGX||$0.024||September 29, 2021||September 30, 2021||October 15, 2021|
|Faircourt Split Trust||FCS.UN||$0.06||September 29, 2021||September 30, 2021||October 7, 2021|
Faircourt Asset Management Inc. is the Investment Advisor for Faircourt Gold Income Corp. and Faircourt Split Trust.
This press release is not for distribution in the United States or over United States wire services.
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