Northview Fund announced its June 2023 cash distribution amounts on its outstanding Class A Units, Class C Units and Class F Units (collectively, the Units), payable on July 17, 2023 to holders of Units of record at June 30, 2023. Further to the press release announcing the recapitalization event on June 12, 2023, the distribution amounts will be as follows: CAD 0.05208 per Class A Unit, representing approximately CAD 0.63 per Unit on an annualized basis; CAD 0.05497 per Class C Unit, representing approximately CAD 0.66 per Unit on an annualized basis; CAD 0.05373 per Class F Unit, representing approximately CAD 0.64 per Unit on an annualized basis.