Purpose Investments Inc. Announces Final July 2025 Distribution Rate for Purpose High Interest Savings Fund, Purpose US Cash Fund, Purpose Cash Management Fund, and Purpose USD Cash Management Fund

TORONTO, July 28, 2025 (GLOBE NEWSWIRE) -- Purpose Investments Inc. announced today the final July 2025 distribution rates for Purpose High Interest Savings Fund, Purpose US Cash Fund, Purpose Cash Management Fund, and Purpose USD Cash Management Fund.

The following table reflects the final distribution amounts for the month of July. Ex-distribution date is July 29, 2025.

Open-End Fund

TickerSymbol

Final distributionper unit

Record Date

Payable Date

DistributionFrequency

Purpose USD CashManagement Fund, ETF Units

MNU.U