Citadel Income Fund announced distributions of CAD 0.01 per unit will be payable on February 16, 2021, March 15, 2021, April 15, 2021, May 17, 2021, June 15, 2021, July 15, 2021, August 16, 2021, September 15, 2021, October 15, 2021, November 15, 2021, December 15, 2021 and January 17, 2022 to unit holders of record on the distribution of January 31, 2021, February 28, 2021, March 31, 2021, April 30, 2021, May 31, 2021, June 30, 2021, July 31, 2021, August 31, 2021, September 30, 2021, October 31, 2021, November 30, 2021 and December 31, 2021.