Preferred LP Units

Preferred LP Units

Preferred LP Units  
TSX Listed
Issue Price
Dividends per Share
per Quarter
Dividend Yield
Redemption Date
Series 1 PVF.PR.U 70214T101  US$25.00 US$0.28125 4.5%

Record Date:
On or about the last business day of Dec., Mar., Jun., and Sept.
Payment Date: On or about the last day of Jan., Apr., Jul. and Oct.

Tax Information
For purposes of the enhanced dividend tax credit rules contained in the Income Tax Act (Canada) and any corresponding provincial and territorial tax legislation, all dividends (and deemed dividends) paid by Partners Value Investments LP to Canadian residents on our common and Preferred LP Units after December 31, 2005, are designated as "eligible dividends". Unless stated otherwise, all dividends (and deemed dividends) are designated as "eligible dividends" for the purposes of these rules.

Transfer Agent and Registrar:
Questions about shareholders, dividends, address changes or lost certificates should be directed to:

Canadian Stock Transfer Company Inc.
P.O. Box 700, Station B
Montreal, QC H3B 3K3

Tel: (416) 682-3860 or
Toll-free: (800) 387-0825
Fax: 1-888-249-6189
©  2018 Partners Value Investments LP