1 |
1/2/2024 (2024) |
1/3/2024 |
1/15/2024 |
Declared Rate: SGD 0.0158 per security/unitPayment Rate: SGD 0.0158 |
0.0158 |
1 |
7/3/2023 (2023) |
7/4/2023 |
7/17/2023 |
Declared Rate: SGD 0.0155 per security/unitPayment Rate: SGD 0.0155 |
0.0155 |
1 |
1/3/2023 (2023) |
1/4/2023 |
1/16/2023 |
Declared Rate: SGD 0.0145 per security/unitPayment Rate: SGD 0.0145 |
0.0145 |
1 |
7/1/2022 (2022) |
7/4/2022 |
7/15/2022 |
Declared Rate: SGD 0.0135 per security/unitPayment Rate: SGD 0.0135 |
0.0135 |
1 |
1/3/2022 (2022) |
1/4/2022 |
1/17/2022 |
Declared Rate: SGD 0.0137 per security/unitPayment Rate: SGD 0.0137 |
0.0137 |
1 |
7/1/2021 (2021) |
7/2/2021 |
7/15/2021 |
Declared Rate: SGD 0.0145 per security/unitPayment Rate: SGD 0.0145 |
0.0145 |
1 |
1/4/2021 (2021) |
1/5/2021 |
1/15/2021 |
Declared Rate: SGD 0.0288 per security/unitPayment Rate: SGD 0.0288 |
0.0288 |
1 |
1/2/2020 (2020) |
1/3/2020 |
1/15/2020 |
Declared Rate: SGD 0.0209 per security/unitPayment Rate: SGD 0.0209 |
0.0209 |
1 |
1/2/2019 (2019) |
1/3/2019 |
1/15/2019 |
Cash Dividend/ DistributionDeclared Rate: SGD 0.0049 per security/unitPayment Rate: SGD 0.0049 |
0.0049 |