Announcements

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Date Title
Feb 16, 2024 Issue Price Of New Units To Be Issued Pursuant To Application Of The Distribution Reinvestment Plan To The Distribution For The Period From 1 July 2023 To 31 December 2023 - Capital Distribution
Feb 16, 2024 Issue Price Of New Units To Be Issued Pursuant To Application Of The Distribution Reinvestment Plan To The Distribution For The Period From 1 July 2023 To 31 December 2023 - Tax-Exempt Income Distribution
Feb 16, 2024 Issue Price Of New Units To Be Issued Pursuant To Application Of The Distribution Reinvestment Plan To The Distribution For The Period From 1 July 2023 To 31 December 2023 - Taxable Income Distribution
Feb 06, 2024 Notice Of Valuation Of Real Assets - Asset Valuation
Feb 06, 2024 (I) Notice Of Record Date And Distribution Payment Date
(II) Application Of The Distribution Reinvestment Plan To The Distribution For The Period From 1 July 2023 To 31 December 2023
- Capital Distribution
Feb 06, 2024 (I) Notice Of Record Date And Distribution Payment Date
(II) Application Of The Distribution Reinvestment Plan To The Distribution For The Period From 1 July 2023 To 31 December 2023
- Tax-Exempt Income Distribution
Feb 06, 2024 (I) Notice Of Record Date And Distribution Payment Date
(II) Application Of The Distribution Reinvestment Plan To The Distribution For The Period From 1 July 2023 To 31 December 2023
- Taxable Income Distribution
Feb 06, 2024 FY 2023 Financial Results - Annexes (Property Information)
Feb 06, 2024 FY 2023 Financial Results Presentation
Feb 06, 2024 Financial Statements And Related Announcement - Full Yearly Results
Feb 06, 2024 Distribution Reinvestment Plan
Jan 11, 2024 Notification Of Results Release
Dec 15, 2023 Entry Into Interested Person Transaction - Supplemental Lease Management Agreement With CapitaLand International (Germany) GmbH
Dec 12, 2023 Entry Into Interested Person Transaction - Lease With CapitaLand Investment Limited At Capital Tower
Nov 27, 2023 UBS Global Real Estate CEO/CFO Conference 2023 (28-29 November 2023)
Nov 24, 2023 Payment Of Base Component Of Management Fee By Way Of Issue Of Units In CapitaLand Integrated Commercial Trust
Nov 23, 2023 CapitaLand Investment And CLI REITs Corporate Day 2023, Bangkok (24 November 2023)
Nov 15, 2023 Morgan Stanley Twenty-Second Annual Asia Pacific Summit (16 November 2023)
Nov 09, 2023 Redemption On Maturity And Cancellation Of S$130 Million 3.2115% Fixed Rate Notes Due 2023 (ISIN Code: SG7PD8000007) Issued Pursuant To The S$3.5 Billion Multicurrency Medium Term Note Programme
Oct 26, 2023 3Q 2023 Business Updates

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