Evolve Reveals August 2025 Distribution Plans for Selected Evolve Funds
Distribution Announcement: Evolve Funds Group Inc. announced distribution amounts per unit for various funds, with ex-dividend dates set for August 27 and August 29, 2025.
Cash Distribution Dates: Unitholders will receive cash distributions on or about September 8, 2025, based on the record date of their respective funds.
Monthly Distributions Listed: The announcement includes specific monthly distribution amounts for several funds, such as $0.10000 for the Canadian Aggregate Bond Enhanced Yield Fund and $0.10228 for the High Interest Savings Account Fund.
Investment Risks: The release emphasizes that investments in ETFs and mutual funds carry risks, and potential investors are encouraged to read the prospectus for detailed information.
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