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Faircourt Asset Management Inc. Announces October Distribution
Globenewswireยท2025-10-25 00:00

Core Viewpoint - Faircourt Asset Management Inc. announced a monthly distribution for the Faircourt Gold Income Corp. fund, indicating ongoing financial activity and commitment to shareholder returns [1][2]. Distribution Details - The distribution amount is set at $0.024 per share/unit for Faircourt Gold Income Corp. [2] - The ex-dividend date is October 31, 2025, with the record date also on October 31, 2025, and the payable date scheduled for November 14, 2025 [2]. Fund Management - Faircourt Asset Management Inc. serves as the Investment Advisor for Faircourt Gold Income Corp., highlighting its role in managing the fund [2].