Low Volatility Canadian Equities Income Fund (the Fund) is a closed-end investment Fund. The Fund's investment objectives are to provide Unitholders with stable monthly distributions; the opportunity for capital appreciation, and an investment in a portfolio of Canadian equity securities that exhibit low volatility of returns. Its primary activity is to invest in Canadian equities and to offer Canadian investors a higher return compared to other products available in Canada. The Fund invests the net proceeds of the offering in an equally-weighted portfolio consisting of over 30 equity securities, which have the lowest volatility of those securities included in the S&P/TSX Composite Index that have a minimum yield of approximately 2.5% at the time of investment. The Fund's investment portfolio includes various categories, such as financials, telecommunication services, utilities, consumer discretionary and energy. The Fund's manager is Aston Hill Capital Markets Inc.