Sprott Strategic Fixed Income Fund Announces Regular Monthly Distribution
TORONTO, May 14, 2015 (GLOBE NEWSWIRE) -- Sprott Strategic Fixed Income Fund ("Fund"), ticker SFI.UN-T, a fund created to provide exposure, on a tax-advantaged basis, to an actively managed portfolio comprised of long and short positions in fixed income securities and managed by Sprott Asset Management LP, today declared the Fund's regular monthly distribution for May 2015.
|Record Date||Payable Date||Distribution Per Unit|
|May 2015||May 28, 2015||June 10, 2015||0.039583|
Cumulative distribution since inception 2.150412
About Sprott Asset Management
Sprott Asset Management LP is a leading alternative asset manager headquartered in Toronto, Canada. The company manages the Sprott family of mutual funds, hedge funds, specialty products, and passive products. The company also manages discretionary managed accounts. Please visit www.sprott.com to learn more.