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Ex-Dividend Date
Units must be purchased prior to this date to be entitled to receive the current declared distribution.

Payment Date
The date upon which Enerplus pays the monthly distribution to unitholders. Should this day fall on a weekend or holiday the distribution will be paid on the following business day. The actual U.S. dollar equivalent distribution will be based upon the actual US/Canadian exchange rate applied on the payment date and will be net of any Canadian withholding taxes that may apply.

Record Date
The date in which all unitholders names are recorded and eligible for the announced distribution.