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CI Global Asset Management Announces September 2026 Distributions for Certain CI ETFs

BNN Bloomberg | Sep 22, 2026 9:24 AM EDT

CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending September 30, 2026 for the ETFs managed by CI GAM with a payment date of October 5, 2026. The payment will be made to unitholders of record on September 29, 2026. The ex-dividend date for all ETFs is September 29, 2026.

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