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Issue Price Of New Units Pursuant To The Distribution Reinvestment Plan For The Distribution Period From 5 March 2021 To 30 June 2021

BackAug 24, 2021
Announcement Title Scrip Election/ Distribution/ DRP
Date & Time of Broadcast Aug 24, 2021 20:21
Status Replace
Corporate Action Reference SG210813DVOPBOMD
Submitted By (Co./ Ind. Name) Simon Garing
Designation Chief Executive Officer and Executive Director
Dividend/ Distribution Number Applicable
Value 7
Financial Year End 31/12/2021
Declared Dividend/ Distribution Rate (Per Share/ Unit) EUR 0.05602
Dividend/ Distribution Period 05/03/2021 TO 30/06/2021
Number of Days 118
Event Narrative
Narrative Type Narrative Text
Additional Text Please refer to the attached announcement titled "ISSUE PRICE OF NEW UNITS PURSUANT TO THE DISTRIBUTION REINVESTMENT PLAN FOR THE DISTRIBUTION PERIOD FROM 5 MARCH 2021 TO 30 JUNE 2021".
Taxation Conditions The tax-exempt income distribution is exempt from tax in the hands of all Unitholders. No tax will be deducted at source.
Event Dates
Record Date and Time 23/08/2021 17:00:00
Ex Date 20/08/2021
Option 1-Cash Payment Details
Election Period 30/08/2021 TO 10/09/2021
Default Option Yes
Option Currency Singapore Dollar
Payment Type Tax Exempted
Gross Rate (Per Share) EUR 0.05602
Net Rate (Per Share) EUR 0.05602
Pay Date 28/09/2021
Gross Rate Status Indicative Rate
Currency Pair SGD/EUR
Exchange Rate 1.59
Gross Rate in Option Currency SGD 0.089072
Note- Any information entered in narrative will not be used in processing
Narrative Type Narrative Text
Additional Text The exchange rate of EUR1 = S$1.59 is as of 13 August 2021 and is indicative.
Option 2-Cash Payment Details
Election Period 30/08/2021 TO 10/09/2021
Default Option No
Option Currency Euro
Payment Type Tax Exempted
Gross Rate (Per Share) EUR 0.05602
Net Rate (Per Share) EUR 0.05602
Pay Date 28/09/2021
Gross Rate Status Actual Rate
Security Option Details
Election Period 23/08/2021 TO 10/09/2021
New Security ISIN SGXC37098255
New Security Name CROMWELL EUROPEAN REIT
Security Not Found No
Fractional Disposition Method Round down fraction to last full unit
Issue/ Reinvestment Price EUR 2.4189
Security Credit Date 28/09/2021

Applicable for REITs/ Business Trusts/ Stapled Securities

Attachments

  1. Attachment 1 (Size: 129,698 bytes)

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