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CI Global Asset Management Announces Monthly Cash Distributions for July 2026 for Certain CI ETFs

Capital Returns (Dividends / Buybacks)Company Fundamentals

CI Global Asset Management announced cash distributions for July 2026 for its ETFs, with a payment date of August 10, 2026. The update is routine for ETF income and is not expected to materially move prices.

Analysis

CI Global Asset Management announced cash distributions for July 2026 for its ETFs, with a payment date of August 10, 2026. The update is routine for ETF income and is not expected to materially move prices.

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