Aston Hill Asset Management Inc. Announces February Distributions

TORONTO, Feb. 15 /CNW/ - Aston Hill Asset Management Inc. (formerly Navina Asset Management Inc.) (the "Manager"), as manager of Lazard Global Convertible Bond Fund, today announced the following distributions for the month ending February 28, 2011:

Fund TSX Symbol Record Date Payment Date Distribution Amount
Lazard Global Convertible Bond Fund CBF.UN Feb 28, 2011 Mar 15, 2011 $0.0583 per unit

SOURCE Aston Hill Asset Management Inc.

For further information:

Michael J. Killeen
President, Aston Hill Asset Management Inc.
416-362-5597

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Aston Hill Asset Management Inc.

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