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
POT Financial Results for the year to 30 June 2025
MOVE FY25 Results for the year ended 30 June 2025
BPG - Completion of Retail Offer
Comvita releases results for the year ended 30 June 2025
August 29th Morning Report
Air New Zealand announces 2025 financial result
August 28th Morning Report
VSL - 2025 date of Annual Meeting of shareholders
WIN - Winton announces FY25 Annual Results
Meridian Energy Limited 2025 Full Year Financial Results