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TSX Symbol: RIB.UN TORONTO, Feb. 15, 2024 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Jan. 15, 2024 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Dec. 29, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce the estimated distributions of the Fund for the first quarter of...
TSX Symbol: RIB.UN TORONTO, Dec. 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Nov. 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Oct. 13, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Sept. 29, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce the estimated distributions of the Fund for the Fourth quarter of...
(TSX: RIB.UN) TORONTO, Sept. 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Aug. 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, July 14, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, June 30, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce the estimated distributions of the Fund for the third quarter of...
TSX Symbol: RIB.UN TORONTO, June 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, May 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, April 14, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, March 31, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce the estimated distributions of the Fund for the second quarter of...
TSX Symbol: RIB.UN TORONTO, March 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Feb. 15, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Jan. 13, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Jan. 3, 2023 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce a special year-end distribution of the Fund, in the amount of...
TSX Symbol: RIB.UN TORONTO, Dec. 30, 2022 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce the estimated distributions of the Fund for the first quarter of...
TSX Symbol: RIB.UN TORONTO, Dec. 16, 2022 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce a special year-end distribution of the Fund, estimated to be in the ...
TSX Symbol: RIB.UN TORONTO, Dec. 15, 2022 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Nov. 15, 2022 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Oct. 14, 2022 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly...
TSX Symbol: RIB.UN TORONTO, Sept. 30, 2022 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (the "Fund") is pleased to announce the estimated distributions of the Fund for the Fourth quarter of...
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