Citadel Income Fund Announces Monthly Distributions for 2025
TORONTO, Jan. 15, 2025 (GLOBE NEWSWIRE) -- Citadel Income Fund (TSX – CTF.UN) (the “Fund”) announces the following distributions per unit will be declared payable on each distribution payment date to unitholders of record on the distribution record date indicated below: Record DatePayment DateAmount (C$ per unit)January 31, 2025February 18, 2025$0.02February 28, 2025March 17, 2025$0.02March 31, 2025April 15, 2025$0.02April 30, 2025May 15, 2025$0.02May 31, 2025June 16, 2025$0.02June 30, 2025July