Monday 23rd November 2020 |
Text too small? |
Goodman Property Trust is pleased to announce the second quarter distribution for the year ending 31 March 2021.
The record date for the distribution is 7 December 2020 with payment to be made on 17 December 2020. Unitholders will receive a cash distribution of $0.01325000 per unit with an additional $0.00243842 per unit in imputation credits.
See the links below for more details:
GMT NZX Corporate Action Notice
Source: Goodman Property Trust
No comments yet
NZAS Sign Long Term Contracts
Amended - IFT230 Maturity and Exchange for IFT350
Synlait forecast milk price update
Chorus submits 2023 fibre regulatory report
Infratil Infrastructure Bond Exchange Offer opens
May 31st Morning Report
NZAS and Mercury sign long-term agreement, creating opportunity for future investment in renewables
Meridian and NZAS sign long term contracts
ArborGen Holdings Results for Year Ended 31 March 2024
BAI - Full unaudited results to 31 March 2024