TSX 09/03/10
            Undiluted    Diluted
OGE.un:   9.7008        N/A
OCY.un: 13.1571     12.4807
OFS.un: 11.8086     11.5047
OCZ.un: 11.7628     11.7314
OBF.un: 11.1299         N/A
OCB.un: 11.4971         N/A

OCY Fund Highlights

Inception: May 28, 2009


Targeted monthly distributions of 9% per annum based on a $12.00 per Trust Unit issue price

Conversion to a mutual on or before December 1, 2011

 

Materials


 

CLOSED-END FUND

Inception: May 28, 2009

TICKER

NAV

(Undiluted)

NAV

(Diluted)

DATE

DISTRIBUTIONS

(since inception)

O'Leary Canadian Income Opportunities Fund

OCY-un

13.1571 12.4807 09/03/10

$1.89

OCY-wt

 

Financials and Reports

Press Releases