Middlefield Equal Sector Income Fund - 2007 Distributions

    TORONTO, April 17 /CNW/ - Middlefield Group is pleased to announce that
distributions for the balance of 2007 will be payable to unitholders of
Middlefield Equal Sector Income Fund as follows:

                                                      Distribution Per
          Record Date           Payable Date             Trust Unit
          April 30, 2007        May 15, 2007               $0.065
          May 31, 2007          June 15, 2007              $0.065
          June 30, 2007         July 13, 2007              $0.065
          July 31, 2007         August 15, 2007            $0.065
          August 31, 2007       September 14, 2007         $0.065
          September 30, 2007    October 15, 2007           $0.065
          October 31, 2007      November 15, 2007          $0.065
          November 30, 2007     December 14, 2007          $0.065
          December 31, 2007     January 15, 2008           $0.065

    The trust units trade on the Toronto Stock Exchange under the symbol

    This press release contains forward-looking information. The
forward-looking information contained in this press release is based on
historical information concerning the distributions and dividends paid on the
securities of issuers historically included in the portfolio of Middlefield
Equal Sector Income Fund. Actual future results, including the amount of
distributions paid by the Fund, may differ from the monthly distribution
amount. Specifically, the income from which distributions are paid may vary
significantly due to: changes in portfolio composition; changes in
distributions and dividends paid by issuers of securities included in the
Fund's portfolio from time to time; there being no assurance that those
issuers will pay distributions or dividends on their securities; the
declaration of distributions and dividends by issuers of securities included
in the portfolio will generally depend upon various factors, including the
financial condition of each issuer and general economic and stock market
conditions; and the uncertainty of realizing capital gains. The risks,
uncertainties and other factors that could influence actual results are
described under "Risk Factors" in the Fund's prospectus dated September 28,
2005 and other documents filed by the Fund with the Canadian securities
regulatory authorities. The forward-looking information contained in this
press release constitutes the Fund's current estimate, as of the date of this
press release, with respect to the matters covered hereby. Investors and
others should not assume that any forward-looking statement contained in this
press release represents the Fund's estimate as of any date other than the
date of this press release.

For further information:

For further information: please visit our website at www.middlefield.com
or contact the undersigned: Nancy Tham, Senior Vice President, (416) 847-5349

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