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Distribution Information
Enerplus Resources Fund pays Unitholders monthly distributions. Distribution amounts are typically announced on the last business day of the month and are paid on the 20th day of the following month. The record date is usually the 10th day of the month.
We have Dividend Reinvestment and Unit Purchase Plan (DRIP) available to Canadian residents only.
| July 2008 Amount |
CDN $0.42 |
| Payment
Date |
20th Day of
the Month |
| Record
Date |
July 10, 2008 |
| Ex-Dividend
Date |
July 8, 2008 |
| Next Announcement |
July 30, 2008 |
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| Current Canadian cash distributions |
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| Current U.S. cash distributions |
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