Announcements

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Date Title
Feb 27, 2026 Completion Of The Sale Of 90 Strata Lots In Bukit Panjang Plaza Held By CICT
Feb 27, 2026 Citi's 31st Annual Global Property CEO Conference (2 - 3 March 2026)
Feb 26, 2026 Disclosure Of Interest/ Changes In Interest Of Trustee-Manager/ Responsible Person - Change In Interest In Units In CapitaLand Integrated Commercial Trust Held By CICTML
Feb 25, 2026 Redemption On Maturity And Cancellation Of S$100 Million 3.5% Fixed Rate Notes Due 2026 (ISIN Code: SG71C4000009) Issued Pursuant To The S$7 Billion Multicurrency Medium Term Note Programme Of CMT MTN Pte. Ltd.
Feb 11, 2026 Redemption On Maturity And Cancellation Of S$100 Million 3.15% Fixed Rate Notes Due 2026 (ISIN Code: SGXF10246050) Issued Pursuant To The S$7 Billion Multicurrency Medium Term Note Programme Of CMT MTN Pte. Ltd.
Feb 09, 2026 Joint Development With CLG And UOL Consortium For Site At Hougang Central
Feb 06, 2026 Notice Of Record Date And Distribution Payment Date - Capital Distribution
Feb 06, 2026 Notice Of Record Date And Distribution Payment Date - Tax-Exempt Income Distribution
Feb 06, 2026 Notice Of Record Date And Distribution Payment Date - Taxable Income Distribution
Feb 06, 2026 Notice Of Valuation Of Real Assets
Feb 06, 2026 FY 2025 Financial Results Presentation
Feb 06, 2026 Financial Statements And Related Announcement - Full Yearly Results
Jan 14, 2026 Successful Joint Tender For Site At Hougang Central
Jan 14, 2026 Sale Of 90 Strata Lots In Bukit Panjang Plaza Held By CICT
Jan 06, 2026 DBS Global Financial Markets - Regional Property Conference 2026 (7 January 2026)
Jan 05, 2026 Notification Of Results Release
Dec 16, 2025 Joint Submission Of Bid For Site At Hougang Central
Dec 01, 2025 UBS Global Real Estate CEO/CFO Conference 2025 (2 December 2025)
Nov 26, 2025 Disclosure Of Interest/ Changes In Interest Of Substantial Shareholder(s)/ Unitholder(s) - Change In Interest Of Substantial Unitholder - BlackRock, Inc.
Nov 20, 2025 Redemption On Maturity And Cancellation Of HKD555 Million 3.836% Fixed Rate Notes Due 2025 (ISIN Code: XS1912614887) Issued Pursuant To The S$7 Billion Multicurrency Medium Term Note Programme Of CMT MTN Pte. Ltd.

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