Investor Relations
Distribution Reinvestment Plan

Important Dates

Event Date
Last day of trading on "cum" basis 26 October 2018 (Friday), 5.00pm
Units will be traded ex-distribution 29 October 2018 (Monday), 9.00am
Book closure date 31 October 2018 (Wednesday), 5.00pm
Despatch of notice of election and tax declaration forms 7 November 2018 (Wednesday)
Unitholders and depository agents must have completed and returned “Notice of Election” to the Unit Registrar, Boardroom Corporate & Advisory Services Pte. Ltd. 21 November 2018 (Wednesday), 5:00pm
Cash distribution payment date 6 December 2018 (Thursday)
Crediting of DRP Units to Unitholders’ securities accounts and listing of new Units on the SGX-ST 6 December 2018 (Thursday)

Please click here to download the Distribution Reinvestment Plan Statement.

INVESTOR RELATIONS CONTACT

Ms Melissa Tan
E: ir_industrial@mapletree.com.sg

SUBSTANTIAL UNITHOLDER ENQUIRIES
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