SCITI Trust Declares Monthly Distribution

May 15, 2015, 09:48 ET from SCITI Trust

TORONTO, May 15, 2015 /CNW/ - SCITI Limited Partnership (the "Trustee") in its capacity as Trustee for SCITI Trust ("SCITI") has declared a cash distribution of $0.058 per Trust Unit.

Record and payment date are as follows:


Record Date

Payment Date

Distribution Amount/Trust Unit

May 28, 2015

June 15, 2015



Unitholders are entitled to receive monthly distributions as declared by the Trustee of SCITI. The Trustee generally intends to declare and pay monthly distributions to the extent of forecasted distributions to be received for a calendar quarter from the underlying portfolio, less the estimated operating expenses for the period.

SCITI is an investment trust whose investment portfolio consists of income funds, corporations and other entities that reflect the makeup of the 50 highest yielding members of the Scotia Capital High Yielding Equity Index on an approximately equal weight basis in order to provide unitholders with a diversified and high yielding portfolio.

Trust Units of SCITI are listed for trading on The Toronto Stock Exchange under the symbol SIN.UN.