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International Clean Power Dividend Fund
NAV Distribution History
 
Date NAV
June 22, 2021 9.36
Total Distributions Since Inception: $0.08334
Record Date Payment Date Distributions
per Unit
June 30, 2021 July 15, 2021 $0.04167
May 31, 2021 June 15, 2021 $0.04167
 
     
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