Comments
yourfanat wrote: I am using another tool for Oracle developers - dbForge Studio for Oracle. This IDE has lots of usefull features, among them: oracle designer, code competion and formatter, query builder, debugger, profiler, erxport/import, reports and many others. The latest version supports Oracle 12C. More information here.

2008 West
DIAMOND SPONSOR:
Data Direct
SOA, WOA and Cloud Computing: The New Frontier for Data Services
PLATINUM SPONSORS:
Red Hat
The Opening of Virtualization
GOLD SPONSORS:
Appsense
User Environment Management – The Third Layer of the Desktop
Cordys
Cloud Computing for Business Agility
EMC
CMIS: A Multi-Vendor Proposal for a Service-Based Content Management Interoperability Standard
Freedom OSS
Practical SOA” Max Yankelevich
Intel
Architecting an Enterprise Service Router (ESR) – A Cost-Effective Way to Scale SOA Across the Enterprise
Sensedia
Return on Assests: Bringing Visibility to your SOA Strategy
Symantec
Managing Hybrid Endpoint Environments
VMWare
Game-Changing Technology for Enterprise Clouds and Applications
Click For 2008 West
Event Webcasts

2008 West
PLATINUM SPONSORS:
Appcelerator
Get ‘Rich’ Quick: Rapid Prototyping for RIA with ZERO Server Code
Keynote Systems
Designing for and Managing Performance in the New Frontier of Rich Internet Applications
GOLD SPONSORS:
ICEsoft
How Can AJAX Improve Homeland Security?
Isomorphic
Beyond Widgets: What a RIA Platform Should Offer
Oracle
REAs: Rich Enterprise Applications
Click For 2008 Event Webcasts
SYS-CON.TV
Today's Top SOA Links


Purpose Investments Inc. Announces May Distributions

TORONTO, ON--(Marketwired - May 19, 2017) - Purpose Investments Inc. is pleased to announce the following distributions for the month of May 2017. The ex-distribution date for all funds is May 29, 2017, with the exception of the Purpose High Interest Savings ETF and the Purpose US Cash ETF, which have an ex-distribution date of May 31, 2017.

                                                                            
----------------------------------------------------------------------------
                           Distribution Record Date   Payable               
Open-End Funds      TSX         per                     Date    Distribution
                   Symbol   share/unit                            Frequency 
----------------------------------------------------------------------------
Purpose Core                                                                
 Dividend Fund -    PDF      $ 0.08001   05/31/2017  06/07/2017    Monthly  
 ETF Series                                                                 
----------------------------------------------------------------------------
Purpose Total                                                               
 Return Bond                                                                
 Fund - ETF         PBD      $ 0.07001   05/31/2017  06/07/2017    Monthly  
 Series                                                                     
----------------------------------------------------------------------------
Purpose Duration                                                            
 Hedged Real                                                                
 Estate Fund -      PHR      $ 0.08001   05/31/2017  06/07/2017    Monthly  
 ETF Series                                                                 
----------------------------------------------------------------------------
Purpose Monthly                                                             
 Income Fund -      PIN      $ 0.08301   05/31/2017  06/07/2017    Monthly  
 ETF Series                                                                 
----------------------------------------------------------------------------
Purpose Premium                                                             
 Yield Fund -       PYF      $ 0.10001   05/31/2017  06/07/2017    Monthly  
 ETF Series                                                                 
----------------------------------------------------------------------------
Purpose Canadian                                                            
 Financial                                                                  
 Income Fund -      BNC      $ 0.07501   05/31/2017  06/07/2017    Monthly  
 ETF Series                                                                 
----------------------------------------------------------------------------
Purpose                                                                     
 Conservative                                                               
 Income Fund -      PRP      $ 0.04401   05/31/2017  06/07/2017    Monthly  
 ETF Series                                                                 
----------------------------------------------------------------------------
Purpose                                                                     
 International                                                              
 Dividend Fund -    PID      $ 0.0560    05/31/2017  06/07/2017    Monthly  
 ETF Units                                                                  
----------------------------------------------------------------------------
Purpose US                                                                  
 Dividend Fund -    PUD      $ 0.0510    05/31/2017  06/07/2017    Monthly  
 ETF Units                                                                  
----------------------------------------------------------------------------
Purpose US                                                                  
 Dividend Fund                                                              
 Non-Currency      PUD.B     $ 0.0597    05/31/2017  06/07/2017    Monthly  
 Hedged - ETF                                                               
 Units                                                                      
----------------------------------------------------------------------------
Purpose Tactical                                                            
 Investment                                                                 
 Grade Bond Fund    BND      $ 0.0550    05/31/2017  06/07/2017    Monthly  
 - ETF Units                                                                
----------------------------------------------------------------------------
Purpose High                                                                
 Interest           PSA      $ 0.0440    05/31/2017  06/07/2017    Monthly  
 Savings ETF                                                                
----------------------------------------------------------------------------
Purpose US Cash                                                             
 ETF               PSU.U    US$ 0.0628   05/31/2017  06/07/2017    Monthly  
----------------------------------------------------------------------------
                                                                            
----------------------------------------------------------------------------
                           Distribution Record Date   Payable               
Closed-End Funds    TSX         per                     Date    Distribution
                   Symbol   share/unit                            Frequency 
----------------------------------------------------------------------------
Energy Credit                                                               
 Opportunities                                                              
 Income Fund -     PCF.UN    $ 0.0500    05/31/2017  06/14/2017    Monthly  
 Class A                                                                    
----------------------------------------------------------------------------
Energy Credit                                                               
 Opportunities                                                              
 Income Fund -     PCF.U    US$ 0.0500   05/31/2017  06/14/2017    Monthly  
 Class U                                                                    
----------------------------------------------------------------------------
Investment Grade                                                            
 Managed                                                                    
 Duration Income   PFU.UN    $ 0.0417    05/31/2017  06/14/2017    Monthly  
 Fund - Class T                                                             
----------------------------------------------------------------------------
Investment Grade                                                            
 Managed                                                                    
 Duration Income  unlisted   $ 0.0417    05/31/2017  06/14/2017    Monthly  
 Fund - Class A                                                             
----------------------------------------------------------------------------
Investment Grade                                                            
 Managed                                                                    
 Duration Income  unlisted   $ 0.0417    05/31/2017  06/14/2017    Monthly  
 Fund - Class A2                                                            
----------------------------------------------------------------------------
Limited Duration                                                            
 Investment                                                                 
 Grade Preferred   PFD.UN    $ 0.1250    05/31/2017  06/14/2017    Monthly  
 Securities Fund                                                            
 - Class A                                                                  
----------------------------------------------------------------------------
Limited Duration                                                            
 Investment                                                                 
 Grade Preferred  unlisted   $ 0.1250    05/31/2017  06/14/2017    Monthly  
 Securities Fund                                                            
 - Class F                                                                  
----------------------------------------------------------------------------
Limited Duration                                                            
 Investment                                                                 
 Grade Preferred   PFD.U    US$ 0.1198   05/31/2017  06/14/2017    Monthly  
 Securities Fund                                                            
 - Class U                                                                  
----------------------------------------------------------------------------
Limited Duration                                                            
 Investment                                                                 
 Grade Preferred  unlisted  US$ 0.1198   05/31/2017  06/14/2017    Monthly  
 Securities Fund                                                            
 - Class V                                                                  
----------------------------------------------------------------------------
U.S. Banks                                                                  
 Income & Growth   PUB.UN    $ 0.0417    05/31/2017  06/14/2017    Monthly  
 Fund - Class T                                                             
----------------------------------------------------------------------------
U.S. Banks                                                                  
 Income & Growth  unlisted   $ 0.0417    05/31/2017  06/14/2017    Monthly  
 Fund - Class A                                                             
----------------------------------------------------------------------------
U.S. Banks                                                                  
 Income & Growth  unlisted   $ 0.0417    05/31/2017  06/14/2017    Monthly  
 Fund - Class A2                                                            
----------------------------------------------------------------------------
                                                                            

(1) Dividend is designated as an "eligible" Canadian dividend for purposes of the Income Tax Act (Canada) and any similar provincial and territorial legislation.

About Purpose Investments Inc.

Purpose Investments is an asset management firm inspired by the belief that all investors should have access to great investment products along with low fees. Purpose believes in focusing first on managing risk and creating value that is currently missing from the marketplace, thus empowering all Canadians to be better investors. Purpose has over $3 billion in assets under management and currently offers 36 exchange traded funds and mutual funds and 7 closed-end funds across multiple asset classes and both traditional and alternative investment strategies.

Purpose is the manager of NexC Partners Corp. (TSX: NXC), an investment corporation which invests in a portfolio of North American dividend-paying equity securities and also, owns an equity stake in Purpose.

Commissions, trailing commissions, management fees and expenses all may be associated with investment fund investments. Please read the prospectus and other disclosure documents before investing. Investment funds are not covered by the Canada Deposit Insurance Corporation or any other government deposit insurer. There can be no assurance that the full amount of your investment in a fund will be returned to you. If the securities are purchased or sold on a stock exchange, you may pay more or receive less than the current net asset value. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

For further information please contact:

Vlad Tasevski
Vice President
Purpose Investments Inc.
Tel: (877) 789-1517
Email: info@purposeinvest.com

About Marketwired .
Copyright © 2009 Marketwired. All rights reserved. All the news releases provided by Marketwired are copyrighted. Any forms of copying other than an individual user's personal reference without express written permission is prohibited. Further distribution of these materials is strictly forbidden, including but not limited to, posting, emailing, faxing, archiving in a public database, redistributing via a computer network or in a printed form.

Web 2.0 Latest News
The help desk forms the backbone of IT operations for many federal, state and local government agencies. In fact, the cross-functional nature of its operation means the help desk directly impacts productivity and is an essential part of what enables an agency to meet its stakeholder ne...
With 10 simultaneous tracks, keynotes, general sessions and targeted breakout classes, Cloud Expo and @ThingsExpo are two of the most important technology events of the year. Since its launch over eight years ago, Cloud Expo and @ThingsExpo have presented a rock star faculty as well as...
Commerce has become both digital and global: Online sales are expected to exceed $1.6 trillion dollars by 2020. As a customer preferred way of doing business, ecommerce offers increased selection, value, and convenience. Online shopping also offers merchants increased access to custome...
These days attacks are becoming more sophisticated and more common. Mobile devices, cloud computing and the Internet of Things have increased the number of access points that must be secured. To complicate matters, CISOs are been directed to secure system without compromising the seaml...
There's an impulse to roll one's eyes and think of legacy applications as problematic, almost by definition. They're old, and they may run on hardware that's slower or more difficult to maintain. But in many instances, that's too simplistic an assessment. Would you respond the same way...
Subscribe to the World's Most Powerful Newsletters
Subscribe to Our Rss Feeds & Get Your SYS-CON News Live!
Click to Add our RSS Feeds to the Service of Your Choice:
Google Reader or Homepage Add to My Yahoo! Subscribe with Bloglines Subscribe in NewsGator Online
myFeedster Add to My AOL Subscribe in Rojo Add 'Hugg' to Newsburst from CNET News.com Kinja Digest View Additional SYS-CON Feeds
Publish Your Article! Please send it to editorial(at)sys-con.com!

Advertise on this site! Contact advertising(at)sys-con.com! 201 802-3021




SYS-CON Featured Whitepapers
ADS BY GOOGLE