Investor Information

As an Income Trust, we pay monthly cash payments to our Unitholders called distributions. Distributions are based on the amount of cash flow generated from the sale of our oil and natural gas production after expenses. Cash distributions are paid on the 20th day of each month to unitholders of record on each record day of the month. The payment is converted into US$ for U.S. unitholders on the payment date.

Last updated: November 26, 2008