TORONTO, June 27, 2011 /CNW/ - Aston Hill Asset Management Inc., the
manager of Aston Hill Global Resource Fund (the "Fund"), today
announced that it has filed revised versions of the management reports
of fund performance of the Fund for the periods ended June 30, 2010 and
December 31, 2010. The revised versions include additional information
regarding the impact to the Fund's management expense ratio and past
performance resulting from a change to the fee structure of the Fund
that took effect on July 5, 2010. The fee change is described in the
Fund's current simplified prospectus dated June 7, 2010.
For further information:
Michael J. Killeen
Aston Hill Asset Management Inc.