News

October 15, 2021

RMIF Monthly Distribution and Net Asset Value for September 2021

The trustees of the Romspen Mortgage Investment Fund have announced a distribution of $0.07 per unit and a net asset value of $9.706 per unit for the month of September 2021, payable October 15, 2021.

September 22, 2021

RUSMIF Monthly Distribution and Net Asset Value for August 2021

Romspen US Mortgage Investment Fund has announced a distribution of US $0.0735 per unit and a net asset value of US $10.00 per unit for the month of August 2021, payable September 20, 2021.

September 15, 2021

RMIF Monthly Distribution and Net Asset Value for August 2021

The trustees of the Romspen Mortgage Investment Fund have announced a distribution of $0.07 per unit and a net asset value of $9.730 per unit for the month of August 2021, payable September 15, 2021.

September 3, 2021

RUSMIF Announces 2021 2nd Quarterly Results

Romspen is pleased to announce the Romspen US Mortgage Investment Fund results for the quarter ended June 30, 2021. The 2nd quarter report can be viewed online or can be mailed to you upon request, by contacting investor relations.

September 3, 2021

RIC Announces New Digital Initiatives for 2021

Romspen Investment Corporation is glad to announce the implementation of new digital initiatives, starting with the release of our new website. Romspen’s online presence has recently been revitalized with updated content, design, function and branding.

September 2, 2021

Romspen Commences Legal Action Against Canadian Real Estate Wealth Media Corp., Neil Sharma, And Lawyer David Franklin For Defamatory Statements

TORONTO – Romspen Mortgage Limited Partnership and Romspen Investment Corporation have commenced legal proceedings in the Ontario Superior Court of Justice against Canadian Real Estate Wealth Media Corp. and its reporter Neil Sharma, who wrote and published a story that contained untrue and defamatory allegations, including false allegations that the Romspen Mortgage Investment Fund is […]

August 20, 2021

RUSMIF Monthly Distribution and Net Asset Value for July 2021

Romspen US Mortgage Investment Fund has announced a distribution of US $0.0697 per unit and a net asset value of US $10.00 per unit for the month of July 2021, payable August 20, 2021.

August 17, 2021

Redemption Update

Dear unitholders of Romspen Mortgage Investment Fund: On July 23, 2021, the trustees of the Fund gave notice to those unitholders who had tendered unit redemption requests of their decision to invoke the discounted redemption provision in the Fund’s declaration of trust. After careful deliberation and consideration, the trustees determined that a 3.5% discount to […]

August 16, 2021

RMIF Monthly Distribution and Net Asset Value for July 2021

The trustees of the Romspen Mortgage Investment Fund have announced a distribution of $0.06 per unit and a net asset value of $9.722 per unit for the month of July 2021, payable August 16, 2021.

August 11, 2021

RMIF Announces 2021 2nd Quarterly Results

The RMIF trustees are pleased to announce the results for the quarter ended June 30, 2021. The 2nd quarter report can be viewed online or can be mailed to you upon request, by contacting investor relations.