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Purpose Investments Inc. Announces March Distributions


/EINPresswire.com/ -- TORONTO, ON--(Marketwired - March 21, 2016) - Purpose Investments Inc. is pleased to announce the following distributions for the month of March 2016. The ex-distribution date for all funds is March 29, 2016, with the exception of the Purpose High Interest Savings ETF and the Purpose US Cash ETF which have an ex-distribution date of March 31, 2016.

                                                                            
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                            Distribution                                    
                      TSX        per       Record     Payable   Distribution
Open-End Funds      Symbol   share/unit     Date       Date      Frequency  
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Purpose Core                                                                
 Dividend Fund -                                                            
 ETF Series           PDF    $ 0.0750(1) 03/31/2016  04/07/2016    Monthly  
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Purpose Total                                                               
 Return Bond Fund                                                           
 - ETF Series         PBD    $ 0.0430(1) 03/31/2016  04/07/2016    Monthly  
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Purpose Duration                                                            
 Hedged Real                                                                
 Estate Fund - ETF                                                          
 Series               PHR    $ 0.0800(1) 03/31/2016  04/07/2016    Monthly  
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Purpose Monthly                                                             
 Income Fund - ETF                                                          
 Series               PIN    $ 0.0830(1) 03/31/2016  04/07/2016    Monthly  
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Purpose Premium                                                             
 Yield Fund - ETF                                                           
 Series               PYF    $ 0.1170(1) 03/31/2016  04/07/2016    Monthly  
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Purpose                                                                     
 International                                                              
 Tactical Hedged                                                            
 Equity Fund - ETF                                                          
 Series               PHW    $ 0.1000(1) 03/31/2016  04/07/2016   Quarterly 
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Purpose                                                                     
 Diversified Real                                                           
 Asset Fund - ETF                                                           
 Series               PRA    $ 0.0900(1) 03/31/2016  04/07/2016   Quarterly 
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Purpose                                                                     
 International                                                              
 Dividend Fund -                                                            
 ETF Units            PID     $ 0.0500   03/31/2016  04/07/2016    Monthly  
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Purpose US                                                                  
 Dividend Fund -                                                            
 ETF Units            PUD     $ 0.0525   03/31/2016  04/07/2016    Monthly  
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Purpose US                                                                  
 Dividend Fund                                                              
 Non-Currency                                                               
 Hedged - ETF                                                               
 Units               PUD.B    $ 0.0600   03/31/2016  04/07/2016    Monthly  
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Purpose Tactical                                                            
 Investment Grade                                                           
 Bond Fund - ETF                                                            
 Units                BND     $ 0.0500   03/31/2016  04/07/2016    Monthly  
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Purpose High                                                                
 Interest Savings                                                           
 ETF                  PSA     $ 0.0420   03/31/2016  04/07/2016    Monthly  
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Purpose US Cash                                                             
 ETF                 PSU.U   US$ 0.0350  03/31/2016  04/07/2016    Monthly  
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                            Distribution                                    
                      TSX        per       Record     Payable   Distribution
Closed-End Funds    Symbol   share/unit     Date       Date      Frequency  
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NexC Partners Corp                                                          
 - Class A            NXC    $ 0.1550(1) 03/31/2016  04/07/2016   Quarterly 
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NexC Partners Corp                                                          
 - Class F         unlisted  $ 0.1550(1) 03/31/2016  04/07/2016   Quarterly 
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Energy Credit                                                               
 Opportunities                                                              
 Income Fund -                                                              
 Class A            PCF.UN     $ 0.050   03/31/2016  04/14/2016    Monthly  
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Energy Credit                                                               
 Opportunities                                                              
 Income Fund -                                                              
 Class U             PCF.U    US$ 0.050  03/31/2016  04/14/2016    Monthly  
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Investment Grade                                                            
 Managed Duration                                                           
 Income Fund -                                                              
 Class T            PFU.UN    $ 0.0417   03/31/2016  04/14/2016    Monthly  
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Investment Grade                                                            
 Managed Duration                                                           
 Income Fund -                                                              
 Class A           unlisted   $ 0.0417   03/31/2016  04/14/2016    Monthly  
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Investment Grade                                                            
 Managed Duration                                                           
 Income Fund -                                                              
 Class A2          unlisted   $ 0.0417   03/31/2016  04/14/2016    Monthly  
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Limited Duration                                                            
 Investment Grade                                                           
 Preferred                                                                  
 Securities Fund -                                                          
 Class A            PFD.UN     $ 0.125   03/31/2016  04/14/2016    Monthly  
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Limited Duration                                                            
 Investment Grade                                                           
 Preferred                                                                  
 Securities Fund -                                                          
 Class F           unlisted    $ 0.125   03/31/2016  04/14/2016    Monthly  
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Limited Duration                                                            
 Investment Grade                                                           
 Preferred                                                                  
 Securities Fund -                                                          
 Class U             PFD.U   US$ 0.1198  02/29/2016  04/14/2016    Monthly  
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Limited Duration                                                            
 Investment Grade                                                           
 Preferred                                                                  
 Securities Fund -                                                          
 Class V           unlisted  US$ 0.1198  02/29/2016  04/14/2016    Monthly  
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U.S. Banks Income                                                           
 & Growth Fund -                                                            
 Class T            PUB.UN    $ 0.0417   03/31/2016  04/14/2016    Monthly  
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U.S. Banks Income                                                           
 & Growth Fund -                                                            
 Class A           unlisted   $ 0.0417   03/31/2016  04/14/2016    Monthly  
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1 Dividend is designated as an "eligible" Canadian dividend for purposes of the Income Tax Act (Canada) and any similar provincial and territorial legislation.

Purpose Investments is an asset management firm inspired by the belief that all investors should have access to great investment products along with low fees. Purpose believes in focusing first on managing risk and creating value that is currently missing from the marketplace, thus empowering all Canadians to be better investors. Purpose has over $2.0 billion in assets under management and currently offers 17 exchange traded funds and mutual funds and 6 closed-end funds across multiple asset classes and both traditional and alternative investment strategies.

Purpose is the manager of NexC Partners Corp. (TSX: NXC), an investment corporation which invests in a portfolio of North American dividend-paying equity securities, plus owns an equity stake in Purpose.

Commissions, trailing commissions, management fees and expenses all may be associated with investment fund investments. Please read the prospectus before investing. The indicated rates of return are the historical annual compounded total return and the cumulative total return including changes in share value and reinvestment of all dividends and does not take into account sales, redemptions, distributions or optional charges or income taxes payable by any shareholder that would have reduced returns. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

For further information please contact:

Dan Rubin
Vice President, Marketing
Purpose Investments Inc.
Tel: (877) 789-1517
Email: info@purposeinvest.com


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