Distribution Reinvestment Plan Schedule

Please click here to download the Distribution Reinvestment Plan (“DRP”) Statement.

Distribution Details
Distribution period 1 January 2015 to 30 June 2015
DRP issued price per unit S$0.8115
Last trading day on a "cum distribution" basis 26 August 2015
Ex-date 27 August 2015
Books closure date 31 August 2015, 5.00 p.m.
Announcement of DRP issue price 31 August 2015
Return of DRP Notice & Election 15 September 2015, 5.00 p.m.
Payment of cash distribution 28 September 2015
Listing of units issued under DRP 28 September 2015