TORONTO, Jan. 20, 2025 (GLOBE NEWSWIRE) -- Purpose Investments Inc. ("Purpose”) is pleased to announce distributions for the month of January 2025 for its open-end exchange-traded funds and closed-end funds ("the Funds”).

The ex-distribution date for all Open-End Funds is January 29, 2025. The ex-distribution date for all closed-end funds is January 31, 2025.

Open-End FundsTicker SymbolDistribution per share/unitRecord DatePayable DateDistribution Frequency
Apple (AAPL) Yield Shares Purpose ETF - ETF UnitsAPLY$0.166701/29/202502/04/2025Monthly
Purpose Canadian Financial Income Fund - ETF SeriesBNC$0.1225¹01/29/202502/04/2025Monthly
Purpose Global Bond Fund - ETF UnitsBND$0.084001/29/202502/04/2025Monthly
Berkshire Hathaway (BRK) Yield Shares Purpose ETF - ETF UnitsBRKY$0.100001/29/202502/04/2025Monthly
Purpose Bitcoin Yield ETF - ETF UnitsBTCY$0.085001/29/202502/04/2025Monthly
Purpose Bitcoin Yield ETF - ETF Non-Currency Hedged UnitsBTCY.B$0.097001/29/202502/04/2025Monthly
Purpose Bitcoin Yield ETF - ETF USD UnitsBTCY.UUS $0.081501/29/202502/04/2025Monthly
Purpose Credit Opportunities Fund - ETF UnitsCROP$0.087501/29/202502/04/2025Monthly
Purpose Credit Opportunities Fund - ETF USD UnitsCROP.UUS $0.097501/29/202502/04/2025Monthly
Purpose Ether Yield - ETF UnitsETHY$0.040501/29/202502/04/2025Monthly
Purpose Ether Yield ETF - ETF Non-Currency Hedged UnitsETHY.B$0.050001/29/202502/04/2025Monthly
Purpose Ether Yield ETF - ETF Units Non-Currency Hedged USD UnitsETHY.UUS $0.039501/29/202502/04/2025Monthly
Purpose Global Flexible Credit Fund - ETF UnitsFLX$0.046101/29/202502/04/2025Monthly
Purpose Global Flexible Credit Fund - Non-Currency Hedged - ETF UnitsFLX.B$0.055101/29/202502/04/2025Monthly
Purpose Global Flexible Credit Fund - Non-Currency Hedged USD - ETF UnitsFLX.UUS $0.038501/29/202502/04/2025Monthly
Purpose Global Bond Class - ETF UnitsIGB$0.0860¹01/29/202502/04/2025Monthly
Microsoft (MSFT) Yield Shares Purpose ETF - ETF unitsMSFY$0.110001/29/202502/04/2025Monthly
Purpose Enhanced Premium Yield Fund - ETF SeriesPAYF$0.1375¹01/29/202502/04/2025Monthly
Purpose Total Return Bond Fund - ETF SeriesPBD$0.0590¹01/29/202502/04/2025Monthly
Purpose Core Dividend Fund - ETF SeriesPDF$0.1050¹01/29/202502/04/2025Monthly
Purpose Enhanced Dividend Fund - ETF SeriesPDIV$0.0950¹01/29/202502/04/2025Monthly
Purpose Real Estate Income Fund - ETF SeriesPHR$0.0720¹01/29/202502/04/2025Monthly
Purpose International Dividend Fund - ETF SeriesPID$0.078001/29/202502/04/2025Monthly
Purpose Monthly Income Fund - ETF SeriesPIN$0.0830¹01/29/202502/04/2025Monthly
Purpose Multi-Asset Income Fund - ETF UnitsPINC$0.084001/29/202502/04/2025Monthly
Purpose Conservative Income Fund - ETF SeriesPRP$0.0600¹01/29/202502/04/2025Monthly
Purpose Premium Yield Fund - ETF SeriesPYF$0.1100¹01/29/202502/04/2025Monthly
Purpose Premium Yield Fund Non-Currency Hedged - ETF SeriesPYF.B$0.1230¹01/29/202502/04/2025Monthly
Purpose Premium Yield Fund Non-Currency Hedged - ETF USD SeriesPYF.UUS $0.1200¹01/29/202502/04/2025Monthly
Purpose Core Equity Income Fund - ETF SeriesRDE$0.0875¹01/29/202502/04/2025Monthly
Purpose Emerging Markets Dividend Fund - ETF UnitsREM$0.095001/29/202502/04/2025Monthly
Purpose Canadian Preferred Share Fund - ETF UnitsRPS$0.095001/29/202502/04/2025Monthly
Purpose US Preferred Share Fund - ETF SeriesRPU$0.094001/29/202502/04/2025Monthly
Purpose US Preferred Share Fund Non-Currency Hedged - ETF Units2RPU.B / RPU.U$0.094001/29/202502/04/2025Monthly
Purpose Strategic Yield Fund - ETF UnitsSYLD$0.097001/29/202502/04/2025Monthly
AMD (AMD) Yield Shares Purpose ETF - ETF SeriesYAMD$0.200001/29/202502/04/2025Monthly
Amazon (AMZN) Yield Shares Purpose ETF- ETF UnitsYAMZ$0.400001/29/202502/04/2025Monthly
Alphabet (GOOGL) Yield Shares Purpose ETF - ETF UnitsYGOG$0.250001/29/202502/04/2025Monthly
META (META) Yield Shares Purpose ETF - ETF SeriesYMET$0.160001/29/202502/04/2025Monthly
NVIDIA (NVDA) Yield Shares Purpose ETF - ETF UnitsYNVD$0.750001/29/202502/04/2025Monthly
Tesla (TSLA) Yield Shares Purpose ETF - ETF UnitsYTSL$0.550001/29/202502/04/2025Monthly
      
Closed-End FundsTicker SymbolDistribution

per share/unit

Record DatePayable DateDistribution Frequency
Big Banc Split Corp, Class ABNK$0.1200¹01/31/202502/14/2025Monthly
Big Banc Split Corp, Class ABNK.PR.A$0.0700¹01/31/2025
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