Income Financial Declares Monthly Distribution
TORONTO, Sept. 23, 2025 (GLOBE NEWSWIRE) -- Income Financial Trust ("Income Financial") declares its monthly distribution of $0.07250 per unit. The distribution is payable October 10, 2025 to unit holders on record as at September 30, 2025.
Under the distribution policy announced on November 18, 2013, the monthly distribution is determined by applying a 10.00% annualized rate on the volume weighted average market price (VWAP) of Income Financial's units over the last 3 trading days of the preceding month. As a result, holders of record on September 30, 2025 will receive a dividend of $0.07250 per unit based on the VWAP of $8.70 payable on October 10, 2025. The yield will remain stable at 10.00% (based on the VWAP) under this distribution policy.
Income Financial unitholders have received a total of $39.45 per unit in distributions since inception, inclusive of this distribution.
Income Financial invests in a portfolio of North American financial services companies including some of the strongest Canadian & U.S. banks, life insurance and investment firms.
| Distribution Details | |
| Trust Unit (INC.UN) | $0.07250 |
| Record Date: | September 30, 2025 |
| Payable Date: | October 10, 2025 |
Investor Relations: 1-877-478-2372
Local: 416-304-4443
www.quadravest.com
[email protected]
Source: Income Financial Trust
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