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Brompton Lifeco Split Corp T.LCS

Alternate Symbol(s):  T.LCS.PR.A

The Funds investment objectives are to provide holders of Preferred shares with fixed, cumulative, preferential quarterly cash distributions in the amount of 0.15625 per share and to return the original issue price of 10.00 per Preferred share to Preferred shareholders at maturity; and to provide holders of Class A shares with regular monthly cash distributions, targeted to be 0.075 per share, and the opportunity for growth in Net Asset Value per share. To achieve these objectives, the Fund invests in a common share portfolio of the following Canadian life insurance companies on an equally weighted basis at the time of investment and any subsequent rebalancing.


TSX:LCS - Post by User

Comment by EricDividendson Mar 17, 2023 12:56pm
50 Views
Post# 35345362

RE:Brompton reports UNIT NAV @ $15.39

RE:Brompton reports UNIT NAV @ $15.39

What date do they actually use for the distribution?

I can find it no where on their website.

If it is the 16th NAV date, then I would buy some more at this price, I think all this mess will blow over in the coming days and month.
 

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