Crown Hill Capital, administrator for Energy Plus Income Fund announces
distributions for remainder of 2010 March 22, 2010

Stock Symbol: EPF.UN, TSX

TORONTO, March 23 /CNW/ - Energy Plus Income Trust (the "Fund") announces the following distributions per Unit will be declared payable on each distribution payment date to Unitholders of record on the applicable Distribution Record Date as indicated below:

    
    Record Date                  Payment Date                 Amount (CDN $)
    -----------                  ------------                 --------------

    March 31, 2010               April 15, 2010                  $0.0425

    April 30, 2010               May 14, 2010                    $0.0425

    May 31, 2010                 June 15, 2010                   $0.0425

    June 30, 2010                July 15, 2010                   $0.0425

    July 30, 2010                August 13, 2010                 $0.0425

    August 31, 2010              September 15, 2010              $0.0425

    September 30, 2010           October 15, 2010                $0.0425

    October 29, 2010             November 15, 2010               $0.0425

    November 30, 2010            December 15, 2010               $0.0425

    December 31, 2010            January 14, 2011                $0.0425
    

%SEDAR: 00021226E

SOURCE ENERGY PLUS INCOME TRUST

For further information: For further information: Citadel Funds at 1-877-261-9674 or visit our website www.citadelfunds.com

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ENERGY PLUS INCOME TRUST

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