ACTIVEnergy Income Fund - Second Quarter 2009 Distributions



    TORONTO, April 21 /CNW/ - Middlefield Group is pleased to announce that
distributions for the second quarter of 2009 will be payable to unitholders of
ACTIVEnergy Income Fund as follows:

    
    -------------------------------------------------------------------------
    Record Date              Payable Date                Distribution Per
                                                           Trust Unit
    -------------------------------------------------------------------------
    April 30, 2009           May 15, 2009                    $0.07
    -------------------------------------------------------------------------
    May 31, 2009             June 15, 2009                   $0.07
    -------------------------------------------------------------------------
    June 30, 2009            July 15, 2009                   $0.07
    -------------------------------------------------------------------------
    

    The trust units trade on the Toronto Stock Exchange under the symbol
AEU.UN.

    April 21, 2009

    This press release contains forward-looking information. The
forward-looking information contained in this press release is based on
historical information concerning the distributions and dividends paid on the
securities of issuers historically included in the portfolio of ACTIVEnergy
Income Fund. Actual future results, including the amount of distributions paid
by the Fund, may differ from the monthly distribution amount. Specifically,
the income from which distributions are paid may vary significantly due to:
changes in portfolio composition; changes in distributions and dividends paid
by issuers of securities included in the Fund's portfolio from time to time;
there being no assurance that those issuers will pay distributions or
dividends on their securities; the declaration of distributions and dividends
by issuers of securities included in the portfolio will generally depend upon
various factors, including the financial condition of each issuer and general
economic and stock market conditions; the level of borrowing by the Fund; and
the uncertainty of realizing capital gains. The risks, uncertainties and other
factors that could influence actual results are described under "Risk Factors"
in the Fund's prospectus dated September 17, 2008 and other documents filed by
the Fund with the Canadian securities regulatory authorities. The
forward-looking information contained in this press release constitutes the
Fund's current estimate, as of the date of this press release, with respect to
the matters covered hereby. Investors and others should not assume that any
forward-looking statement contained in this press release represents the
Fund's estimate as of any date other than the date of this press release.




For further information:

For further information: please visit our website at www.middlefield.com
or contact the undersigned: Nancy Tham, Senior Vice President, (416) 847-5349


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