TORONTO, ONTARIO -- (Marketwired) -- 11/07/14 -- Brookfield New Horizons Income Fund (CSE: BIF.UN) (the "Fund") has amended its annual redemption date as defined in its declaration of trust from the last business day of March to the last business day of November (the "Annual Redemption Date"). Further details can be found at www.brookfieldim.com.
For 2014, the notice period for redemption on the last business day of November shall be no later than 5:00 p.m. (Toronto time) on Friday, November 21st. Brookfield Asset Management Inc. has notified the Fund that they intend to redeem the 5,612,310 units directly and indirectly held by them. Other investors holding in excess of 6,000,000 units have informed the Fund that they have no current intention of redeeming their units.
Contacts:
Brookfield New Horizons Income Fund
Investor Relations
(855) 777-8001
funds@brookfield.com
www.brookfieldim.com