CIX Split Corp. Announces Distribution for Month Ending May 31, 2009

    TSX Symbol:  CXC.PR.A

    TORONTO, May 4 /CNW/ - CIX Split Corp. (the "Corporation") announced
today a distribution for the month ending May 31, 2009 of $0.04167 per
Priority Equity Share payable on May 29, 2009 to unitholders of record as at
May 15, 2009.
    The Corporation's investment objectives for the Priority Equity Shares
are to provide shareholders with fixed cumulative preferential monthly cash
distributions in the amount of $0.04167 per Priority Equity Share to yield
approximately 5.0% per annum on the original issue price and on or about the
Termination Date to pay to the holders of Priority Equity Shares the original
issue price of the Priority Equity shares.
    The Corporation's Priority Equity Shares are listed on the Toronto Stock
Exchange under the symbol CXC.PR.A.

For further information:

For further information: CI Investments Inc., (416) 364-1145,

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