Ridgewood Canadian Investment Grade Bond Fund Declares Monthly Distribution for November of $0.0530 per Unit /* Style Definitions */ span.prnews_span { font-size:8pt; font-family:"Arial"; color:black; } a.prnews_a { color:blue; } li.prnews_li { font-size:8pt; font-family:"Arial"; color:black; } p.prnews_p { font-size:0.62em; font-family:"Arial"; color:black; margin:0in; } Canada NewsWire TORONTO , Nov. 15, 2021 /CNW/ - Ridgewood Canadian Investment Grade Bond Fund (TSX: RIB.UN) is pleased to announce that a cash distribution of $0.0530 per unit has been declared. The monthly distribution equates to an annualized distribution rate of 5.30% on an initial subscription price of $12.00 per unit. The distribution is payable on December 15, 2021 to Unitholders of record at the close of business on November 30, 2021 . About Ridgewood Canadian Investment Grade Bond Fund: The Fund will seek to achieve the following investment objectives: (i) to provide unitholders with monthly cash distributions targeted to be 5.3% per annum on the original issue price of $12.00 per unit; and (ii) to maximize total returns for unitholders while preserving capital in the long term. About Ridgewood Capital Asset Management Inc.: Ridgewood is an independent investment manager that manages approximately $1.6 billion in assets for a diversified client base of high net worth individuals, foundations/endowments, First Nation mandates and institutional accounts, of which approximately $1.3 billion is invested in fixed income assets. SOURCE Ridgewood Canadian Investment Grade Bond Fund View original content: http://www.newswire.ca/en/releases/archive/November2021/15/c0185.html Canada NewswireNovember 15, 2021 - 6:30 AM PSTNews by QuoteMediawww.quotemedia.com