Crown Hill Dividend Fund Declares Monthly Distribution


    TORONTO, Aug. 21 /CNW/ - Crown Hill Dividend Fund (the "Trust") announced
today that it has declared its monthly distribution of $0.06 per unit payable
on September 19, 2007 to unitholders of record as of August 31, 2007.
    The Trust was launched on June 1, 2004 with two investment objectives (i)
to provide unitholders with a stable stream of monthly distributions targeted
to be $0.06 per Unit ($0.72 per annum or 7.2% of the Offering Price of
$10.00); and (ii) to preserve and potentially enhance the net asset value of
the Trust in order to return at least the Offering Price to unitholders upon
the Termination Date of December 31, 2011.

    %SEDAR: 00020532E

For further information:

For further information: Crown Hill Capital Corporation, Tel: (416)

Organization Profile


More on this organization

Custom Packages

Browse our custom packages or build your own to meet your unique communications needs.

Start today.

CNW Membership

Fill out a CNW membership form or contact us at 1 (877) 269-7890

Learn about CNW services

Request more information about CNW products and services or call us at 1 (877) 269-7890