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Canoe EIT Income 4.80 Cumulative Redeemable Pref shs Series 1 T.EIT.PR.A

Alternate Symbol(s):  ENDTF | T.EIT.UN | T.EIT.PR.B

Canoe EIT Income Fund (the Fund) is a Canada-based closed-end investment trust. The investment objectives of Fund are to maximize monthly distributions relative to risk and maximize net asset value, while maintaining and expanding a diversified investment portfolio, primarily through acquiring, investing, holding, transferring, disposing of or otherwise dealing with or in equity and debt securities of corporations, partnerships, or other issuers and such other investments as the manager may determine in its sole discretion from time to time. Canoe Financial LP is the manager and portfolio manager of the Fund.


TSX:EIT.PR.A - Post by User

Post by 1wealthtreeon Jan 31, 2021 4:04pm
326 Views
Post# 32432437

25yr distn streak from'97(EnerVest Diversified income trust)

25yr distn streak from'97(EnerVest Diversified income trust)
Time Period:
Aug. 25, 1997 - Jan. 30, 2021
how:
Dividends Only
Frequency:
Monthly
 
Canoe EIT Income Fund is currently offering a monstrous yield of 12% at a safe payout ratio of 81.6% — enough to start a $200 a month income from a $20,000 investment in your TFSA. The fund hasn’t missed its dividends for over two decades and has been paying the same monthly amount of $0.1 per share since 2009.  In fact it was EnerVest Diversified back in 1997 prior to becoming canoe financial.
 
It’s one of the largest closed-end funds in the country, and even if you take the 1.1% per annum management fee out of the equation, the payout would still be almost unrivaled. Canadian and U.S. equities make up over 80% of the fund, and the rest is in cash and foreign

jan 2021 and counting onwards until its fund mandate in 2050!................25 year streak & counting.

equities.https://ca.finance.yahoo.com/news/cra-pay-absolutely-zero-taxes-130343488.html 
Date Dividends
Jan. 21, 2021 0.1 Dividend
Dec. 21, 2020 0.1 Dividend
Nov. 19, 2020 0.1 Dividend
Oct. 21, 2020 0.1 Dividend
Sep. 21, 2020 0.1 Dividend
Aug. 20, 2020 0.1 Dividend
Jul. 21, 2020 0.1 Dividend
Jun. 19, 2020 0.1 Dividend
May 21, 2020 0.1 Dividend
Apr. 22, 2020 0.1 Dividend
Mar. 19, 2020 0.1 Dividend
Feb. 21, 2020 0.1 Dividend
Jan. 21, 2020 0.1 Dividend
Dec. 19, 2019 0.1 Dividend
Nov. 21, 2019 0.1 Dividend
Oct. 21, 2019 0.1 Dividend
Sep. 19, 2019 0.1 Dividend
Aug. 21, 2019 0.1 Dividend
Jul. 19, 2019 0.1 Dividend
Jun. 20, 2019 0.1 Dividend
May 22, 2019 0.1 Dividend
Apr. 22, 2019 0.1 Dividend
Mar. 21, 2019 0.1 Dividend
Feb. 22, 2019 0.1 Dividend
Jan. 21, 2019 0.1 Dividend
Dec. 20, 2018 0.1 Dividend
Nov. 21, 2018 0.1 Dividend
Oct. 19, 2018 0.1 Dividend
Sep. 20, 2018 0.1 Dividend
Aug. 21, 2018 0.1 Dividend
Jul. 19, 2018 0.1 Dividend
Jun. 21, 2018 0.1 Dividend
May 22, 2018 0.1 Dividend
Apr. 19, 2018 0.1 Dividend
Mar. 21, 2018 0.1 Dividend
Feb. 22, 2018 0.1 Dividend
Jan. 19, 2018 0.1 Dividend
Dec. 28, 2017 0.1 Dividend
Nov. 21, 2017 0.1 Dividend
Oct. 19, 2017 0.1 Dividend
Sep. 21, 2017 0.1 Dividend
Aug. 18, 2017 0.1 Dividend
Jul. 19, 2017 0.1 Dividend
Jun. 20, 2017 0.1 Dividend
May 18, 2017 0.1 Dividend
Apr. 19, 2017 0.1 Dividend
Mar. 20, 2017 0.1 Dividend
Feb. 21, 2017 0.1 Dividend
Jan. 18, 2017 0.1 Dividend
Dec. 20, 2016 0.1 Dividend
Nov. 18, 2016 0.1 Dividend
Oct. 19, 2016 0.1 Dividend
Sep. 20, 2016 0.1 Dividend
Aug. 18, 2016 0.1 Dividend
Jul. 20, 2016 0.1 Dividend
Jun. 20, 2016 0.1 Dividend
May 18, 2016 0.1 Dividend
Apr. 20, 2016 0.1 Dividend
Mar. 18, 2016 0.1 Dividend
Feb. 18, 2016 0.1 Dividend
Jan. 20, 2016 0.1 Dividend
Dec. 18, 2015 0.1 Dividend
Nov. 18, 2015 0.1 Dividend
Oct. 20, 2015 0.1 Dividend
Sep. 18, 2015 0.1 Dividend
Aug. 19, 2015 0.1 Dividend
Jul. 20, 2015 0.1 Dividend
Jun. 18, 2015 0.1 Dividend
May 21, 2015 0.1 Dividend
Apr. 20, 2015 0.1 Dividend
Mar. 18, 2015 0.1 Dividend
Feb. 19, 2015 0.1 Dividend
Jan. 20, 2015 0.1 Dividend
Dec. 18, 2014 0.1 Dividend
Nov. 19, 2014 0.1 Dividend
Oct. 20, 2014 0.1 Dividend
Sep. 18, 2014 0.1 Dividend
Aug. 20, 2014 0.1 Dividend
Jul. 18, 2014 0.1 Dividend
Jun. 18, 2014 0.1 Dividend
May 21, 2014 0.1 Dividend
Apr. 21, 2014 0.1 Dividend
Mar. 19, 2014 0.1 Dividend
Feb. 20, 2014 0.1 Dividend
Jan. 20, 2014 0.1 Dividend
Dec. 18, 2013 0.1 Dividend
Nov. 20, 2013 0.1 Dividend
Oct. 29, 2013 0.1 Dividend
Sep. 26, 2013 0.1 Dividend
Aug. 28, 2013 0.1 Dividend
Jul. 29, 2013 0.1 Dividend
Jun. 26, 2013 0.1 Dividend
May 29, 2013 0.1 Dividend
Apr. 26, 2013 0.1 Dividend
Mar. 26, 2013 0.1 Dividend
Feb. 26, 2013 0.1 Dividend
Jan. 29, 2013 0.1 Dividend
Dec. 27, 2012 0.1 Dividend
Nov. 28, 2012 0.1 Dividend
Oct. 29, 2012 0.1 Dividend
Sep. 26, 2012 0.1 Dividend
Aug. 29, 2012 0.1 Dividend
Jul. 27, 2012 0.1 Dividend
Jun. 27, 2012 0.1 Dividend
May 29, 2012 0.1 Dividend
Apr. 26, 2012 0.1 Dividend
Mar. 28, 2012 0.1 Dividend
Feb. 27, 2012 0.1 Dividend
Jan. 27, 2012 0.1 Dividend
Dec. 28, 2011 0.1 Dividend
Nov. 28, 2011 0.1 Dividend
Oct. 27, 2011 0.08 Dividend
Sep. 28, 2011 0.08 Dividend
Aug. 29, 2011 0.08 Dividend
Jul. 27, 2011 0.08 Dividend
Jun. 28, 2011 0.08 Dividend
May 27, 2011 0.08 Dividend
Apr. 27, 2011 0.08 Dividend
Mar. 29, 2011 0.08 Dividend
Feb. 24, 2011 0.08 Dividend
Jan. 27, 2011 0.08 Dividend
Dec. 29, 2010 0.08 Dividend
Nov. 26, 2010 0.08 Dividend
Oct. 27, 2010 0.08 Dividend
Sep. 28, 2010 0.08 Dividend
Aug. 27, 2010 0.08 Dividend
Jul. 28, 2010 0.08 Dividend
Mar. 29, 2010 0.08 Dividend
Feb. 24, 2010 0.08 Dividend
Jan. 27, 2010 0.08 Dividend
Dec. 29, 2009 0.08 Dividend
Nov. 26, 2009 0.08 Dividend
Oct. 28, 2009 0.08 Dividend
Sep. 28, 2009 0.08 Dividend
Aug. 27, 2009 0.08 Dividend
Jul. 29, 2009 0.12 Dividend
Jun. 26, 2009 0.12 Dividend
May 27, 2009 0.12 Dividend
Apr. 28, 2009 0.12 Dividend
Mar. 27, 2009 0.12 Dividend
Feb. 25, 2009 0.12 Dividend
Feb. 23, 2009 0.12 Dividend
Jan. 28, 2009 0.168 Dividend
Dec. 29, 2008 0.168 Dividend
Nov. 26, 2008 0.168 Dividend
Oct. 29, 2008 0.168 Dividend
Sep. 26, 2008 0.168 Dividend
Aug. 27, 2008 0.168 Dividend
Jul. 29, 2008 0.168 Dividend
Jun. 27, 2008 0.168 Dividend
May 28, 2008 0.168 Dividend
Apr. 28, 2008 0.168 Dividend
Mar. 28, 2008 0.168 Dividend
Feb. 27, 2008 0.168 Dividend
Jan. 29, 2008 0.168 Dividend
Dec. 27, 2007 0.168 Dividend
Nov. 28, 2007 0.168 Dividend
Oct. 29, 2007 0.168 Dividend
Sep. 26, 2007 0.168 Dividend
Aug. 29, 2007 0.168 Dividend
Jul. 27, 2007 0.168 Dividend
Jun. 27, 2007 0.168 Dividend
May 29, 2007 0.168 Dividend
Apr. 27, 2007 0.168 Dividend
Mar. 28, 2007 0.168 Dividend
Feb. 26, 2007 0.168 Dividend
Jan. 26, 2007 0.168 Dividend
Dec. 27, 2006 0.168 Dividend
Nov. 28, 2006 0.168 Dividend
Oct. 27, 2006 0.168 Dividend
Sep. 27, 2006 0.168 Dividend
Aug. 29, 2006 0.168 Dividend
Jul. 27, 2006 0.168 Dividend
Jun. 28, 2006 0.168 Dividend
May 29, 2006 0.168 Dividend
Apr. 26, 2006 0.168 Dividend
Mar. 29, 2006 0.168 Dividend
Feb. 24, 2006 0.168 Dividend
Jan. 27, 2006 0.168 Dividend
Dec. 28, 2005 0.168 Dividend
Nov. 28, 2005 0.168 Dividend
Oct. 28, 2005 0.168 Dividend
Sep. 28, 2005 0.168 Dividend
Aug. 29, 2005 0.168 Dividend
Jul. 27, 2005 0.168 Dividend
Jun. 28, 2005 0.168 Dividend
May 27, 2005 0.168 Dividend
Apr. 27, 2005 0.168 Dividend
Mar. 29, 2005 0.168 Dividend
Feb. 24, 2005 0.168 Dividend
Jan. 27, 2005 0.168 Dividend
Dec. 29, 2004 0.168 Dividend
Nov. 26, 2004 0.168 Dividend
Oct. 27, 2004 0.168 Dividend
Sep. 28, 2004 0.168 Dividend
Aug. 27, 2004 0.168 Dividend
Jul. 28, 2004 0.168 Dividend
Jun. 28, 2004 0.168 Dividend
May 28, 2004 0.168 Dividend
Apr. 28, 2004 0.168 Dividend
Mar. 29, 2004 0.168 Dividend
Feb. 25, 2004 0.168 Dividend
Jan. 28, 2004 0.168 Dividend
Dec. 29, 2003 0.168 Dividend
Nov. 26, 2003 0.168 Dividend
Oct. 28, 2003 0.168 Dividend
Sep. 26, 2003 0.168 Dividend
Aug. 27, 2003 0.168 Dividend
Jul. 29, 2003 0.168 Dividend
Jun. 26, 2003 0.168 Dividend
May 28, 2003 0.168 Dividend
Apr. 25, 2003 0.168 Dividend
Mar. 27, 2003 0.168 Dividend
Feb. 26, 2003 0.168 Dividend
Jan. 29, 2003 0.168 Dividend
Dec. 27, 2002 0.336 Dividend
Nov. 27, 2002 0.168 Dividend
Oct. 29, 2002 0.168 Dividend
Sep. 27, 2002 0.168 Dividend
Aug. 28, 2002 0.168 Dividend
Jul. 29, 2002 0.168 Dividend
Jun. 26, 2002 0.168 Dividend
Apr. 26, 2002 0.168 Dividend
Mar. 26, 2002 0.168 Dividend
Feb. 26, 2002 0.168 Dividend
Jan. 29, 2002 0.168 Dividend
Dec. 27, 2001 0.168 Dividend
Nov. 28, 2001 0.168 Dividend
Oct. 26, 2001 0.168 Dividend
Sep. 26, 2001 0.168 Dividend
Aug. 24, 2001 0.168 Dividend
Jul. 27, 2001 0.168 Dividend
Jun. 27, 2001 0.168 Dividend
May 25, 2001 0.168 Dividend
Apr. 27, 2001 0.168 Dividend
Mar. 29, 2001 0.168 Dividend
Feb. 23, 2001 0.168 Dividend
Jan. 31, 2001 0.168 Dividend
Dec. 27, 2000 0.168 Dividend
Nov. 28, 2000 0.168 Dividend
Oct. 26, 2000 0.168 Dividend
Sep. 27, 2000 0.168 Dividend
Aug. 25, 2000 0.168 Dividend
Jul. 27, 2000 0.168 Dividend
Jun. 28, 2000 0.168 Dividend
May 26, 2000 0.168 Dividend
Apr. 26, 2000 0.156 Dividend
Mar. 29, 2000 0.156 Dividend
Feb. 25, 2000 0.156 Dividend
Jan. 27, 2000 0.156 Dividend
Dec. 29, 1999 0.156 Dividend
Nov. 26, 1999 0.144 Dividend
Oct. 27, 1999 0.144 Dividend
Sep. 28, 1999 0.144 Dividend
Aug. 27, 1999 0.144 Dividend
Jul. 28, 1999 0.144 Dividend
Jun. 28, 1999 0.288 Dividend
Apr. 28, 1999 0.144 Dividend
Mar. 29, 1999 0.168 Dividend
Feb. 24, 1999 0.168 Dividend
Jan. 27, 1999 0.168 Dividend
Dec. 29, 1998 0.168 Dividend
Nov. 26, 1998 0.168 Dividend
Oct. 28, 1998 0.168 Dividend
Sep. 28, 1998 0.168 Dividend
Aug. 27, 1998 0.168 Dividend
Jul. 29, 1998 0.192 Dividend
Jun. 19, 1998 0.192 Dividend
May 28, 1998 0.192 Dividend
Apr. 29, 1998 0.192 Dividend
Mar. 27, 1998 0.216 Dividend
Feb. 25, 1998 0.216 Dividend
Jan. 28, 1998 0.216 Dividend
Dec. 30, 1997 0.216 Dividend
Nov. 27, 1997 0.216 Dividend
Oct. 30, 1997 0.216 Dividend

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