TORONTO, June 06, 2023 S Split Corp. has declared monthly distributions, payable on June 30, 2023 to shareholders of record on June 15, 2023. Due to the decline in the net asset value per unit. | June 6, 2023
TORONTO, April 04, 2023 S Split Corp. has declared monthly distributions, payable on April 28, 2023 to shareholders of record on April 14, 2023. Due to the decline in the net asset value per. | April 4, 2023
TORONTO, March 29, 2023 S Split Corp. announces results of operations for the year ended December 31, 2022. Decrease in net assets attributable to holders of Class A shares amounted to $2.64. | March 29, 2023
TORONTO, Dec. 05, 2022 S Split Corp. has declared monthly distributions, payable on December 30, 2022 to shareholders of record on December 15, 2022. Due to the decline in the net asset value . | December 5, 2022
TORONTO, Oct. 29, 2021 S Split Corp. announced today that the term of the Fund is being extended automatically for an additional seven-year period beyond the November 30, 2021 termination date. | October 29, 2021