1 |
8/16/2023 (2023) |
8/17/2023 |
9/28/2023 |
Declared Rate: SGD 0.0035 per security/unitCash Option 001: SGD (Default Option)Re-investment Price |
0.0035 |
1 |
8/19/2022 (2022) |
8/22/2022 |
9/28/2022 |
Declared Rate: SGD 0.0076 per security/unitCash Option 001: SGD (Default Option)Re-investment Price |
0.0076 |
1 |
3/10/2020 (2020) |
3/11/2020 |
3/30/2020 |
Declared Rate: SGD 0.0008 per security/unitPayment Rate: SGD 0.0008 |
0.0008 |
1 |
3/7/2019 (2019) |
3/8/2019 |
3/29/2019 |
Declared Rate: SGD 0.0072 per security/unitPayment Rate: SGD 0.0072 |
0.0072 |
1 |
9/6/2018 (2018) |
9/10/2018 |
9/27/2018 |
SGD 0.0274 |
0.0274 |
1 |
3/8/2018 (2018) |
3/12/2018 |
3/29/2018 |
010717-311217 SGD 0.0201 |
0.0201 |
1 |
3/8/2018 (2018) |
3/12/2018 |
3/29/2018 |
010717-311217 SGD 0.0072 TAX EXEMPT |
0.0072 |
1 |
9/8/2017 (2017) |
9/12/2017 |
9/27/2017 |
010117-300617 SGD 0.0274 |
0.0274 |
1 |
3/15/2017 (2017) |
3/17/2017 |
3/28/2017 |
010716-311216 SGD 0.026 |
0.026 |
1 |
9/6/2016 (2016) |
9/8/2016 |
9/21/2016 |
111215-300616 SGD 0.0285 |
0.0285 |