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Sentry Select Capital Inc. announces January 2009 distributions
2009-01-20

TORONTO: Sentry Select Capital Inc. (“Sentry Select”) is pleased to announce the January 2009 distribution amounts for the following funds.

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Fund        Trading Distri-  Record  Payable Distri- TSX trading Annualized
             symbol  bution    date     date  bution   price per      yield
                     amount                   amount  unit as of      as of
                       (per                   annua-    Jan. 19,   Jan. 19,
                       unit)                   lized        2009       2009
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Sentry       SDT.UN $0.0260    Jan.     Feb. $0.3120       $2.63      11.9%
 Select                         30,       6,
 Divers-                       2009     2009
 ified
 Income Fund
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Pro-Vest     PRG.UN $0.0667    Jan.     Feb. $0.8004       $6.71      11.9%
 Growth &                       30,      13,
 Income Fund                   2009     2009
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Premier      PVN.UN $0.0600    Jan.     Feb. $0.7200       $6.27      11.5%
 Value                          30,      13,
 Income Trust                  2009     2009
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Select 50    SON.UN $0.0800    Jan.     Feb. $0.9600       $6.88      14.0%
 S-1 Income                     30,      13,
 Trust                         2009     2009
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Sentry       SSJ.UN $0.0260    Jan.     Feb. $0.3120       $5.40       5.8%
 Select                         30,      13,
 Commodities                   2009     2009
 Income Trust
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Sentry       SFG.UN $0.0650    Jan.     Feb. $0.7800       $4.52      17.3%
 Select                         30,      13,
 Focused                       2009     2009
 Growth &
 Income Trust
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Sentry       MGS.UN $0.0350    Jan.     Feb. $0.4200       $4.40       9.5%
 Select MBS                     30,      13,
 Adjustable                    2009     2009
 Rate Income
 Fund II
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Oil Sands    OSM.UN $0.0417    Jan.     Feb. $0.5004       $5.69       8.8%
 and Energy                     30,      13,
 Mega-                         2009     2009
 Projects
 Trust
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Precious     MMP.UN $0.1000    Jan.     Feb. $1.2000       $4.20      28.6%
 Metals and                     30,      13,
 Mining Trust                  2009     2009
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Future distributions: Distributions are based upon the current make-up of each individual fund’s portfolio and the indicated distribution policies of the securities within each of the fund’s portfolio. If the make-up of the portfolios changes or if such securities make distributions other than in accordance with their indicated policies, the distributions could change.

For the remainder of 2009, Sentry Select will not issue press releases regarding monthly distribution of the funds unless required for regulatory purposes. For details of each fund’s monthly distribution please visit www.sentryselect.com.

Sentry Select Capital Inc.: Sentry Select Capital Inc. is a Canadian wealth management company that offers a diverse range of investment products including closed-end trusts, mutual funds, principal-protected notes and flow-through limited partnerships, covering a variety of domestic and global mandates.

Website: To find out more about each fund, including portfolio holdings, net asset values and investment objectives, please visit www.sentryselect.com.

More information: Investor Services (broker/investor inquiries)
Tel: 1-888-246-6656
Fax: 416-364-1197
Email: info@sentryselect.com

Certain statements included in this news release constitute forward-looking statements, including, but not limited to, those identified by the expressions ‘‘expect’’, ‘‘intend’’, “will” and similar expressions to the extent they relate to Sentry Select. The forward-looking statements are not historical facts but reflect Sentry Select’s current expectations regarding future results or events. These forward-looking statements are subject to a number of risks and uncertainties that could cause actual results or events to differ materially from current expectations, including the ability of each fund to pay distributions in the amounts and on the dates specified. Although Sentry Select believes that the assumptions inherent in the forward-looking statements are reasonable, forward-looking statements are not guarantees of future performance and, accordingly, readers are cautioned not to place undue reliance on such statements due to the inherent uncertainty therein. Sentry Select undertakes no obligation to update publicly or otherwise revise any forward-looking statement or information whether as a result of new information, future events or other such factors which affect this information, except as required by law. For a complete disclosure record for all funds please visit their respective profiles at www.sedar.com.


Les documents (y compris les communiqués de presse) se rapportant aux divers fonds d'investissement pour lesquels Sentry agit à titre de gestionnaire ou de conseiller ne sont fournis qu'à titre informatif. Ces documents ne peuvent être considérés comme étant exhaustifs ou exempts d'erreur sans un examen approfondi de la totalité des documents se rapportant à un fonds d'investissement en particulier disponibles sur SEDAR (www.sedar.com).