|
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
Fonterra announces Mainland Group leadership change
OCA - Oceania announces Director changes as part of Board refresh
AIA - Analyst and media webcast for FY26 interim results
The Warehouse Group confirms leaner operating structure
SML - Synlait provides half year performance update
RYM - Refreshed strategy and new capital management framework
ENS - Clarification of Gina Tuzcet’s status
BGP - 4th Quarter Sales to 25 January 2026
Contact Energy 2026 Half Year Results Presentation
February 2nd Morning Report