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Dividend Declarations As Of
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Tuesday, June 10, 2016
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Name
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Cycle
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Dividend
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Last
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Yield
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Ex
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Pay
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Brookfield RL Estate RV
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M
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0.1083
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15.25
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8.52%
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6/28
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7/29
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Sciti Trust Units
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M
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0.049
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7.45
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7.89%
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6/27
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7/15
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Vermilion Energy Inc.
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M
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0.215
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33.59
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7.68%
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6/20
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7/15
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Canadian Resources Income
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M
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0.059
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9.52
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7.44%
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6/28
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7/15
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One Liberty Properties Inc.
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Q
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0.41
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23.87
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6.87%
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6/22
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7/7
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Altagas LTD.
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M
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0.165
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30.49
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6.49%
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6/23
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7/15
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Chatham Lodging Trust
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M
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0.11
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21.1
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6.26%
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6/28
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7/29
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Keg Royalties Income Fund
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M
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0.09
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18.05
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5.98%
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6/17
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6/30
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Cim Commerical Trust Corp.
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Q
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0.21875
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18.03
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4.85%
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6/17
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6/28
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Garmin Ltd Switzerland
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Q
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0.51
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42.51
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4.80%
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6/10
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6/30
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Transcontinentl B MV
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Q
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0.185
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16.79
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4.41%
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6/30
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7/21
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Transcontinentl A SV
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Q
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0.185
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17.28
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4.28%
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6/30
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7/21
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Tri Continental Corp.
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Q
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0.2201
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20.66
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4.26%
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6/16
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6/28
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Keyera CORP.
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M
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0.125
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37.65
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3.98%
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6/20
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7/15
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General Electric Co.
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Q
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0.23
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30.04
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3.06%
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6/16
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7/25
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Kennedy Wilson Holdings Inc.
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Q
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0.14
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19.92
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2.81%
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6/28
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7/7
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Hudson Pacific Properties
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Q
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0.2
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28.7
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2.79%
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6/16
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6/30
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Abbott Labs
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Q
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0.26
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38.4
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2.71%
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7/13
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8/15
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Consolidated Water Co.
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Q
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0.075
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13.53
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2.22%
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6/29
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7/31
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Bancorp New Jersey Inc.
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Q
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0.06
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11.35
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2.11%
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6/16
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6/30
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Ixys Corp.
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Q
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0.04
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10.86
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1.47%
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6/22
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7/8
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Lifetime Brands Inc.
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Q
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0.0425
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15.32
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1.11%
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7/28
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8/15
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Heartland Express Inc.
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Q
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0.02
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18.19
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0.44%
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6/17
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7/1
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Titan International
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Q
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0.005
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6.91
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0.29%
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6/28
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7/15
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