International Clean Power Dividend Fund
Overview
The Funds investment objectives are to provide holders of Units (Unitholders) with (i) stable monthly cash distributions and (ii) enhanced long-term total return through capital appreciation of the Funds investment portfolio (the Portfolio). The fund is actively managed portfolio comprised primarily of dividend paying securities of international issuers focused on, involved in, or that derive a significant portion of their revenue from renewable power and related sectors (collectively, Clean Power Issuers). The Advisor (as defined below) believes that Clean Power Issuers will generate attractive risk-adjusted returns for the Fund due to the increasing demand for renewable power stemming from the ongoing reduction in cost associated with renewable power as well as the growing political, corporate and societal support for renewable power.