Crescent Point Energy Trust Confirms June 2009 Distribution
Crescent Point Energy Trust confirmed that the cash distribution to be paid on July 15, 2009, in respect of June 2009 production, for unitholders of record on June 30, 2009 will be $0.23 per trust unit. The ex-distribution date is June 26, 2009.
Crescent Point also announces that to facilitate the Trust's previously announced conversion to a dividend paying corporation, which conversion is expected to be completed on or about July 2, 2009, Crescent Point is suspending its Premium Distribution, Distribution Reinvestment and Optional Unit Purchase Plan for the month of June 2009. Crescent Point expects to adopt a similar plan following the completion of the conversion and beginning with the month of July 2009.