Onyx Trust, Series A-1 - Net Asset Value as at October 31, 2007

    MONTREAL, Nov. 13 /CNW Telbec/ - Onyx Trust, Series A-1 ("Onyx")
announces that its net asset value per unit as at October 31, 2007 amounted to

    About the Trust

    The objectives of Onyx are to provide unitholders with a stream of
tax-deferred quarterly distributions to yield 6% per annum of the issue price
and to redeem all outstanding units at the original subscription price of
$100.00 per unit on May 17, 2008.

For further information:

For further information: François Rivard, (514) 879-6405,

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