Purpose Floating Rate Income Fund Announces Distribution for the Month of May 2019, Payable on June 7, 2019
Purpose Floating Rate Income Fund announced distribution of CAD 0.0312 per unit, USD 0.0371 per unit on Non-Currency Hedged USD fund and CAD 0.0352 on Non-Currency Hedged fund per unit for the month of May 2019, payable on June 7, 2019, with a record date of May 29, 2019. The ex-distribution date is May 28, 2019.