CITADEL PREMIUM INCOME FUND AND CITADEL STABLE S-1 INCOME FUND
Stock Symbols: CPF.UN, TSX CSR.UN, TSX
TORONTO, June 9 /CNW/ - Each of Citadel Premium Income Fund and Citadel
Stable S-1 Income Fund (the "Funds"), confirmed today that the annual
redemptions for such Funds will proceed as scheduled on Monday, June 29, 2009
(the second last business day of June).
Payment of the redemption price for the Citadel Premium Income Fund will
be made on or before the fifteenth business day in July. Payment of the
redemption price for the Citadel Stable S-1 Income Fund will be made on or
before the tenth business day in July.
For further information:
For further information: Citadel Group of Funds at 1-866-936-7880 or at