TSX Symbol: CNV.UN
TORONTO, Nov. 5, 2013 /CNW/ - Convertible & Yield Advantage Trust (the "Trust") announced today that the Trust completed the redemption of
its outstanding redeemable, transferable units (the "Units") on October
31, 2013 as contemplated by the constating documents of the Trust. In
connection therewith, the Trust redeemed each Unit for $23.4459. The
redemption proceeds were paid by the Trust on November 5, 2013 through
CDS Clearing and Depository Services Inc.
SOURCE: CI Investments Inc.
For further information:
CI Investments Inc.