Bloom Select Income Fund (TSX:BLB.UN) announces the following distributions:



Record Date             Payment Date             Amount per unit            
----------------------------------------------------------------------------
                                                                            
April 30, 2013          May 15, 2013             $0.041666                  
May 31, 2013            June 17, 2013            $0.041666                  
June 28, 2013           July 15, 2013            $0.041666                  
July 31, 2013           August 15, 2013          $0.041666                  
August 30, 2013         September 16, 2013       $0.041666                  
September 30, 2013      October 15, 2013         $0.041666                  



The Fund's Distribution Reinvestment Plan (the Plan) is in place and allows
Canadian resident beneficial unitholders to automatically reinvest their monthly
distributions in additional units of the Fund, providing an opportunity to
benefit from compounding through reinvestment at the prevailing net asset value
of the Fund. Unitholders can obtain further details of the Plan from the Bloom
Funds website (www.bloomfunds.ca). Please contact your Investment Advisor to
enroll in the Plan.


Commissions, management fees and other expenses may all be associated with
investment funds. Please read the Fund's publicly filed documents which are
available from SEDAR at www.sedar.com. Investment funds are not guaranteed,
their values change frequently and past performance may not be repeated.


FOR FURTHER INFORMATION PLEASE CONTACT: 
Investor Relations
416-861-9941 or 1-855-BLOOM18
www.bloomfunds.ca

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