TORONTO, Aug. 15, 2024 (GLOBE NEWSWIRE) -- Bloom Select Income Fund (TSX: BLB.UN) (the Fund) announces the following distributions:

Record Date            Payment Date            Distribution per unit
October 31, 2024   November 15, 2024   $0.041666
November 29, 2024    December 16, 2024   $0.041666
December 31, 2024   January 15, 2025   $0.041674
January 31, 2025   February 18, 2025   $0.041666
February 28, 2025   March 17, 2025   $0.041666
March 31, 2025   April 15, 2025   $0.041666
         

Since the Fund’s inception in April 2012, the Fund has paid cash distributions of $6.10 per unit.

Unitholders are reminded that the Fund has a Dividend Reinvestment Plan (DRIP) providing unitholders with the ability to automatically reinvest their distributions and benefit from the compound growth from this reinvestment. Please contact your Investment Advisor or financial institution to enroll in this DRIP.

For further information please contact Unitholder Information at 416-861-9941 or 1-855-BLOOM18 (1-855-256-6618) or visit www.bloomfunds.ca

Commissions, management fees and other expenses may all be associated with investment funds. Please read the Fund’s publicly filed documents which are available from SEDAR at www.sedar.com . Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.