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Canso Credit Income Fund (T:PBY.UN)

Business Focus: Closed End Funds

Apr 10, 2024 04:00 pm ET
CANSO CREDIT INCOME FUND ANNOUNCES DISTRIBUTION
TORONTO, April 10, 2024 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and per Class F Unit on or before each of the Payment Dates to unitholders of record of the Fund at the close of business on the respective Distribution Record Dates.
Jan 10, 2024 03:00 pm ET
Special Distribution for Canso Credit Income Fund (the "Fund")
TORONTO, Jan. 10, 2024 /CNW/ - Lysander Funds Limited ("Lysander") announces a special distribution for each class of units of Canso Credit Income Fund (TSX: PBY.UN) for the tax year ending December 31, 2023 ("Special Distributions") as follows:
Dec 13, 2023 05:57 pm ET
Lysander Establishes Automatic Securities Disposition Plan in Units of Canso Credit Income Fund
Lysander Funds Limited (“Lysander”) today announced that it has established an automatic securities disposition plan (“ASDP”) with respect to its holdings of Class A units of Canso Credit Income Fund (“CCIF”), in accordance with applicable Canadian...
Nov 28, 2023 03:00 pm ET
Special Distribution Estimate for Canso Credit Income Fund (the "Fund")
TORONTO, Nov. 28, 2023 /CNW/ - Lysander Funds Limited announces estimated special distributions for each class of units of Canso Credit Income Fund ( the "Fund") (TSX: PBY.UN)  as follows:
Jul 05, 2023 07:19 pm ET
Lysander Funds Limited Announces Holdings in Canso Credit Income Fund
Lysander Funds Limited (“Lysander”) announced today that pursuant to a Recirculation Agreement between Canso Credit Income Fund (TSX: PBY.UN) (the “Issuer”) and RBC Dominion Securities Inc. dated July 16, 2010, as amended, Lysander acquired 677,405...
Jul 05, 2023 07:10 pm ET
John Carswell Announces Holdings in Canso Credit Income Fund
John Carswell announced today that pursuant to a Recirculation Agreement between Canso Credit Income Fund (TSX: PBY.UN) (the “Issuer”) and RBC Dominion Securities Inc. dated July 16, 2010, as amended, Lysander Funds Limited (“Lysander”), a company...
Jun 20, 2023 09:00 am ET
CANSO CREDIT INCOME FUND - RECIRCULATION OF CLASS A UNITS (TSX Ticker: PBY.UN)
TORONTO, June 20, 2023 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (the "Fund") intends to recirculate Class A units of the Fund (TSX: PBY.UN) tendered for redemption under the Fund's annual redemption privilege. This recirculation is in accordance with the Fund's declaration of trust and a recirculation agreement between the Fund and RBC Dominion Securities Inc. ("RBC DS"). Pursuant to the recirculation agreement, RBC DS shall use commercially reasonable efforts to find purchasers for 1,680,219 Class A units of the Fund tendered for redemption from July 5, 2023 to
Apr 14, 2023 02:40 pm ET
/C O R R E C T I O N from Source -- Canso Credit Income Fund/
In the news release, CANSO CREDIT INCOME FUND ANNOUNCES DISTRIBUTION, issued 13-Apr-2023 by Canso Credit Income Fund over CNW, we are advised by the company that the Distribution Record Date for June 29 has been updated. The date should read 'June 29, 2023' rather than 'June 29, 2022' as originally issued inadvertently. The complete, corrected release follows:
Apr 13, 2023 04:00 pm ET
CANSO CREDIT INCOME FUND ANNOUNCES DISTRIBUTION
TORONTO, April 13, 2023 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and per Class F Unit on or before each of the Payment Dates to unitholders of record of the Fund at the close of business on the respective Distribution Record Dates.            
Jan 12, 2023 08:00 am ET
Special Distribution for Canso Credit Income Fund (the "Fund")
TORONTO, Jan. 12, 2023 /CNW/ - Lysander Funds Limited ("Lysander") announces a special distribution for each class of units of Canso Credit Income Fund (TSX: PBY.UN) for the tax year ending December 31, 2022 ("Special Distributions") as follows:
Nov 29, 2022 08:00 am ET
Special Distribution Estimate for Canso Credit Income Fund (the "Fund")
TORONTO, Nov. 29, 2022 /CNW/ - Lysander Funds Limited announces estimated special distributions for each class of units of Canso Credit Income Fund ( the "Fund") (TSX: PBY.UN) as follows:
Jul 18, 2022 08:42 am ET
Canso Credit Income Fund Announces Approval of Normal Course Issuer Bid
Lysander Funds Limited (the “Manager”) is pleased to announce that the Toronto Stock Exchange (“TSX”) has approved the notice of intention of Canso Credit Income Fund (the “Fund”) to make a normal course issuer bid (an “NCIB”) for its outstanding...
Jun 20, 2022 04:00 pm ET
CANSO CREDIT INCOME FUND - RECIRCULATION OF CLASS A UNITS (TSX Ticker: PBY.UN)
TORONTO, June 20, 2022 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (the "Fund") intends to recirculate Class A units of the Fund (TSX: PBY.UN) tendered for redemption under the Fund's annual redemption privilege. This recirculation is in accordance with the Fund's declaration of trust and a recirculation agreement between the Fund and RBC Dominion Securities Inc. ("RBC DS").  Pursuant to the recirculation agreement, RBC DS shall use commercially reasonable efforts to find purchasers for 410,897 Class A units of the Fund tendered for redemption from July 5, 2022 to
Apr 20, 2022 01:20 pm ET
/C O R R E C T I O N from Source -- Canso Credit Income Fund/
In the news release, CANSO CREDIT INCOME FUND ANNOUNCES DISTRIBUTION, issued 14-Apr-2022 by Canso Credit Income Fund over CNW, we are advised by the company that the second distribution date in the table should read "May 31, 2002, June 15 2022" rather than "June 29, 2022, July 15, 2022" as originally issued inadvertently. The complete, corrected release follows:
Apr 14, 2022 04:00 pm ET
CANSO CREDIT INCOME FUND ANNOUNCES DISTRIBUTION
TORONTO, April 14, 2022 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and per Class F Unit on or before each of the Payment Dates to unitholders of record of the Fund at the close of business on the respective Distribution Record Dates.
Jan 10, 2022 08:15 am ET
Special Distribution for Canso Credit Income Fund (the "Fund")
TORONTO, Jan. 10, 2022 /CNW/ - Lysander Funds Limited ("Lysander") announces a special distribution for each class of units of Canso Credit Income Fund (TSX: PBY.UN) for the tax year ending December 31, 2021 ("Special Distributions") as follows:
Dec 03, 2021 11:01 am ET
Special Distribution Estimate for Canso Credit Income Fund (the "Fund")
TORONTO, Dec. 3, 2021 /CNW/ - Lysander Funds Limited announces estimated special distributions for each class of units of Canso Credit Income Fund ( the "Fund") (TSX: PBY.UN)  as follows:
Sep 10, 2021 11:08 am ET
Canso Credit Income Fund Announces Filing of Final Base Shelf Prospectus
Lysander Funds Limited (the “Manager”), the manager of Canso Credit Income Fund (the “Fund”), is pleased to announce that it has filed a final short form base shelf prospectus on behalf of the Fund with securities regulators in each of the...
Aug 04, 2021 02:43 pm ET
Canso Credit Income Fund Announces Filing of Preliminary Base Shelf Prospectus
Lysander Funds Limited (the “Manager”), the manager of Canso Credit Income Fund (the “Fund”), is pleased to announce that it has filed a preliminary short form base shelf prospectus on behalf of the Fund with securities regulators in each of the...
Jul 16, 2021 08:00 am ET
Canso Credit Income Fund Announces Approval of Normal Course Issuer Bid
TORONTO, July 16, 2021 /CNW/ - Lysander Funds Limited (the "Manager") is pleased to announce that the Toronto Stock Exchange ("TSX") has approved the notice of intention of Canso Credit Income Fund (the "Fund") to make a normal course issuer bid (an "NCIB") for its outstanding Class A units (TSX: PBY.UN) (the "Units").
Jun 18, 2021 10:14 am ET
Canso Credit Income Fund - Recirculation of Class A Units (TSX Ticker: PBY.UN)
TORONTO, June 18, 2021 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (the "Fund") intends to recirculate Class A units of the Fund (TSX: PBY.UN) tendered for redemption under the Fund's annual redemption privilege. This recirculation is in accordance with the Fund's declaration of trust and a recirculation agreement between the Fund and RBC Dominion Securities Inc. ("RBC DS").  Pursuant to the recirculation agreement, RBC DS shall use commercially reasonable efforts to find purchasers for 446,987 Class A units of the Fund tendered for redemption on July 2, 2021 until
Mar 24, 2021 12:17 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, March 24, 2021 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166 per Class A Unit and Class F Unit on or before each of the Payment Dates to unitholders of record of the Fund at the close of business on the respective Distribution Record Dates.        
Jan 08, 2021 03:00 pm ET
Special Distribution for Canso Credit Income Fund (the "Fund")
TORONTO, Jan. 8, 2021 /CNW/ - Lysander Funds Limited ("Lysander") announces a special distribution for each class of units of Canso Credit Income Fund (TSX: PBY.UN) for the tax year ending December 31, 2020 ("Special Distributions") as follows:
Dec 22, 2020 03:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, Dec. 22, 2020 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of January15, 2021, February 16, 2021, and March 15, 2021 (the "Payment Dates") to unitholders of record of the Fund at the close of business on December 31, 2020, January 29, 2021 and February 26, 2021 respectively (the "Distribution Record Dates").
Sep 23, 2020 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, Sept. 23, 2020 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of October 15, 2020, November 16, 2020, and December 15, 2020 (the "Payment Dates") to unitholders of record of the Fund at the close of business on September 30, 2020, October 30, 2020 and November 30, 2020 respectively (the "Distribution Record Dates").
Jul 14, 2020 03:03 pm ET
Canso Credit Income Fund Announces Approval of Normal Course Issuer Bid
TORONTO, July 14, 2020 /CNW/ - Lysander Funds Limited (the "Manager") is pleased to announce that the Toronto Stock Exchange ("TSX") has approved the notice of intention of Canso Credit Income Fund (the "Fund") to make a normal course issuer bid (an "NCIB") for its outstanding Class A units (TSX: PBY.UN) (the "Units").
Jun 23, 2020 08:58 am ET
Canso Credit Income Fund - Recirculation of Class A Units (TSX Ticker: PBY.UN)
TORONTO, June 23, 2020 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (the "Fund") intends to recirculate Class A units of the Fund (TSX ticker: PBY.UN) tendered for redemption under the Fund's annual redemption privilege. This recirculation is in accordance with the disclosure in the Fund's prospectus dated June 28, 2010.  Pursuant to a recirculation agreement between the Fund and RBC Dominion Securities Inc. ("RBC DS"), RBC DS shall use commercially reasonable efforts to find purchasers for 2,938,909 Class A units of the Fund tendered for redemption until 11:00 a.m.
Jun 17, 2020 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, June 17, 2020 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of July 15, 2020, August 17, 2020, and September 15, 2020 (the "Payment Dates") to unitholders of record of the Fund at the close of business on June 30, 2020, July 31, 2020 and August 31, 2020 respectively (the "Distribution Record Dates").
Jun 16, 2020 10:56 am ET
Canso Credit Income Fund will discontinue servicing fees
TORONTO, June 16, 2020 /CNW/ - Lysander Funds Limited announces that effective July 1, 2020, Canso Credit Income Fund (TSX: PBY.UN) will discontinue paying servicing fees, which are currently paid to dealers that have investors who hold Class A units of the Fund.  The Fund believes ceasing to pay servicing fees will bring it in line with most closed-end funds, which now typically do not pay servicing fees.  Lysander expects that this should lower the management expense ratio of the Fund going forward. 
Mar 20, 2020 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, March 20, 2020 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of April 15, 2020, May 15, 2020, and June 15, 2020 (the "Payment Dates") to unitholders of record of the Fund at the close of business on March 31, 2020, April 30, 2020 and May 29, 2020 respectively (the "Distribution Record Dates").
Dec 19, 2019 10:00 am ET
Canso Credit Income Fund Announces Distribution
TORONTO, Dec. 19, 2019 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of January 15, 2020, February 18, 2020, and March 16, 2020 (the "Payment Dates") to unitholders of record of the Fund at the close of business on December 31, 2019, January 31, 2020 and February 28, 2020 respectively (the "Distribution Record Dates").
Sep 17, 2019 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, Sept. 17, 2019 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of October 15, 2019, November 15, 2019, and December 16, 2019 (the "Payment Dates") to unitholders of record of the Fund at the close of business on September 30, 2019, October 31, 2019, and November 29, 2019 respectively (the "Distribution Record Dates").
Jul 15, 2019 08:00 am ET
Canso Credit Income Fund Announces Approval of Normal Course Issuer Bid
TORONTO, July 15, 2019 /CNW/ - Lysander Funds Limited (the "Manager") is pleased to announce that the Toronto Stock Exchange ("TSX") has approved the notice of intention of Canso Credit Income Fund (the "Fund") to make a normal course issuer bid (an "NCIB") for its outstanding Class A units (TSX: PBY.UN) (the "Units").
Jun 25, 2019 09:01 am ET
Canso Credit Income Fund - Recirculation of Class A Units (TSX Ticker: PBY.UN)
TORONTO, June 25, 2019 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (the "Fund") intends to recirculate Class A units of the Fund (TSX ticker: PBY.UN) tendered for redemption under the Fund's annual redemption privilege. This recirculation is in accordance with the disclosure in the Fund's prospectus dated June 28, 2010.  Pursuant to a recirculation agreement between the Fund and RBC Dominion Securities Inc. ("RBC DS"), RBC DS shall use commercially reasonable efforts to find purchasers for 616,522 Class A units of the Fund tendered for redemption until 11:00 a.m. o
Jun 14, 2019 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, June 14, 2019 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of July 15, 2019, August 15, 2019, and September 16, 2019 (the "Payment Dates") to unitholders of record of the Fund at the close of business on June 28, 2019, July 31, 2019, and August 30, 2019 respectively (the "Distribution Record Dates").
Mar 13, 2019 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, March 13, 2019 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of April 15, 2019, May 15, 2019, and June 17, 2019 (the "Payment Dates") to unitholders of record of the Fund at the close of business on March 29, 2019, April 30, 2019, and May 31, 2019 respectively (the "Distribution Record Dates").
Dec 12, 2018 03:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, Dec. 12, 2018 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of January 15, 2019, February 15, 2019, and March 15, 2019 (the "Payment Dates") to unitholders of record of the Fund at the close of business on December 31, 2018, January 31, 2019, and February 28, 2019 respectively (the "Distribution Record Dates").
Sep 13, 2018 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, Sept. 13, 2018 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of October 15, 2018, November 15, 2018, and December 17, 2018 (the "Payment Dates") to unitholders of record of the Fund at the close of business on September 28, 2018, October 31, 2018, and November 30, 2018 respectively (the "Distribution Record Dates").
Jul 12, 2018 04:30 pm ET
Canso Credit Income Fund Announces Approval of Normal Course Issuer Bid
TORONTO, July 12, 2018 /CNW/ - Lysander Funds Limited (the "Manager") is pleased to announce that the Toronto Stock Exchange ("TSX") has approved the notice of intention of Canso Credit Income Fund ( the "Fund") to make a normal course issuer bid (an "NCIB") for its outstanding Class A units (the "Units").
Jun 27, 2018 10:20 am ET
Canso Credit Income Fund Recirculation of Class A Units (TSX Ticker: PBY.UN)
TORONTO, June 27, 2018 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (the "Fund") intends to recirculate Class A units of the Fund (TSX ticker: PBY.UN) tendered for redemption under the Fund's annual redemption privilege. This recirculation is in accordance with the Fund's prospectus dated June 28, 2010. In accordance with a recirculation agreement as noted in the Fund's prospectus, RBC Dominion Securities shall use commercially reasonable efforts to find purchasers for 506,269 units of PBY.UN for recirculation on June 27, 2018 and June 28, 2018.
Jun 13, 2018 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, June 13, 2018 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of July 16, 2018, August 15, 2018, and September 17, 2018 (the "Payment Dates") to unitholders of record of the Fund at the close of business on June 29, 2018, July 31, 2018, and August 31, 2018 respectively (the "Distribution Record Dates").
Mar 15, 2018 04:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, March 15, 2018 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of April 16, 2018, May 15, 2018, and June 15, 2018 (the "Payment Dates") to unitholders of record of the Fund at the close of business on March 29, 2018, April 30, 2018, and May 31, 2018 respectively (the "Distribution Record Dates").
Jan 04, 2018 01:00 pm ET
Confirmed Special Distribution for Canso Credit Income Fund (TSX Symbol: PBY.UN)
TORONTO, Jan. 4, 2018 /CNW/ - Lysander Funds Limited ("Lysander") announces the following confirmed special distributions for Canso Credit Income Fund for the tax year ending December 31, 2017 ("Special Distributions"):
Dec 12, 2017 03:00 pm ET
Canso Credit Income Fund (TSX Symbol: PBY.UN) Announces Distributions
TORONTO, Dec. 12, 2017 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund ( the "Fund") (TSX: PBY.UN) will make the following distributions:
Sep 14, 2017 04:00 pm ET
Canso Credit Income Fund announces distribution
TORONTO, Sept. 14, 2017 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of October 16, 2017, November 15, 2017, and December 15, 2017 (the "Payment Dates") to unitholders of record of the Fund at the close of business on September 29, 2017, October 31, 2017, and November 30, 2017, respectively (the "Distribution Record Dates").
Jul 12, 2017 05:00 pm ET
Canso Credit Income Fund and Canso Select Opportunities Fund Announce Approval of Normal Course Issuer Bids
TORONTO, July 12, 2017 /CNW/ - Lysander Funds Limited (the "Manager") is pleased to announce that the Toronto Stock Exchange ("TSX") has approved the notice of intention of each of Canso Credit Income Fund and Canso Select Opportunities Fund (each a "Fund" and, collectively, the "Funds") to make a normal course issuer bid (each, an "NCIB") for its outstanding Class A units (the "Units").
Jun 14, 2017 05:00 pm ET
Canso Credit Income Fund announces distribution
TORONTO, June 14, 2017 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of July 17, 2017, August 15, 2017, and September 15, 2017 (the "Payment Dates") to unitholders of record of the Fund at the close of business on June 30, 2017, July 31, 2017, and August 31, 2017, respectively (the "Distribution Record Dates").
Mar 14, 2017 05:00 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, March 14, 2017 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of April 17, 2017, May 15, 2017, and June 15, 2017 (the "Payment Dates") to unitholders of record of the Fund at the close of business on March 31, 2017, April 28, 2017, and May 31,2017, respectively (the "Distribution Record Dates").
Jan 05, 2017 04:00 pm ET
Confirmed Special Distribution for Canso Credit Income Fund (TSX Symbol: PBY.UN)
TORONTO, Jan. 5, 2017 /CNW/ - Lysander Funds Limited ("Lysander") announces  the  following confirmed special distributions for Canso Credit Income Fund for the tax year ending December 31, 2016 ("Special Distributions"):
Dec 13, 2016 04:00 pm ET
Canso Credit Income Fund (TSX Symbol: PBY.UN) Announces Distributions
TORONTO, Dec. 13, 2016 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (the "Fund") (TSX: PBY.UN) will make the following distributions:
Sep 14, 2016 05:01 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, Sept. 14, 2016 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166 per Class A Unit and/or per Class F Unit on or before each of October 17, 2016, November 15, 2016, and December 15, 2016 (the "Payment Dates") to unitholders of record of the Fund at the close of business on September 30, 2016, October 31, 2016, and November 30, 2016, respectively (the "Distribution Record Dates").
Jun 14, 2016 05:44 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, June 14, 2016 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of July 15, 2016, August 15, 2016, and September 15, 2016 (the "Payment Dates") to unitholders of record of the Fund at the close of business on June 30, 2016, July 29, 2016, and August 31, 2016, respectively (the "Distribution Record Dates").
Apr 12, 2016 05:29 pm ET
Canso Credit Income Fund and Canso Select Opportunities Fund Announce Approval of Normal Course Issuer Bids
TORONTO, April 12, 2016 /CNW/ - Lysander Funds Limited (the "Manager") is pleased to announce that the Toronto Stock Exchange ("TSX") has approved the notice of intention of each of Canso Credit Income Fund and Canso Select Opportunities Fund (each a "Fund" and, collectively, the "Funds") to make a normal course issuer bid (each, an "NCIB") for its outstanding Class A units (the "Units").
Mar 10, 2016 04:21 pm ET
Canso Credit Income Fund Announces Distribution
TORONTO, March 10, 2016 /CNW/ - Lysander Funds Limited announces that Canso Credit Income Fund (TSX: PBY.UN) will pay a monthly distribution in the amount of $0.04166  per Class A Unit and/or per Class F Unit on or before each of April 15, 2016, May 16, 2016, and June 15, 2016 (the "Payment Dates") to unitholders of record of the Fund at the close of business on March 31, 2016, April 29, 2016, and May 31, 2016, respectively (the "Distribution Record Dates").