Senior Secured Floating Rate Loan Fund announced distribution of $0.054167 per Class A unit months ending March 2015, April 2015 and May 2015, payable on April 15, 2015, May 15, 2015 and June 15, 2015 respectively to the recorded shareholders on March 31, 2015, April 30, 2015 and May 29, 2015 respectively.