TORONTO, Sept. 21, 2026 /CNW/ — Lysander Funds Limited (“Lysander”) announces the September 2026 cash distributions for each of Lysander-Canso Corporate Treasury ActivETF, Lysander-Canso Floating Rate ActivETF and Lysander-Canso Credit Income ActivETF (TSX: LYCT) (TSX: LYFR) and (TSX: PBY) respectively (each, an “ETF” and collectively, the “ETFs”). Unitholders of record of each ETF at the close of business on the Distribution Record Date will receive a cash distribution based on the number of units held in the amount indicated below, payable on or before the Payment Date.
ETF
Distribution per unit
Distribution Record Date
Payment Date
Lysander-Canso Corporate Treasury ActivETF
$0.0128
September 29, 2026
October 13, 2026
Lysander-Canso Floating Rate ActivETF
$0.0193
September 29, 2026
October 13, 2026
Lysander-Canso Credit Income ActivETF
$0.0417
September 29, 2026
October 13, 2026
Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. Investment funds are not guaranteed, their values change frequently, and past performance may not be repeated.
®Lysander Funds is a registered trademark of Lysander Funds Limited.
SOURCE Lysander Funds Limited