Announcements

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Date Title
Apr 19, 2023 Results Of Extraordinary General Meeting Held On 19 April 2023
Apr 19, 2023 Results Of Annual General Meeting Held On 19 April 2023
Apr 18, 2023 Extraordinary General Meeting To Be Held On 19 April 2023 - Responses To Substantial And Relevant Questions
Apr 18, 2023 Annual General Meeting To Be Held On 19 April 2023 - Responses To Substantial And Relevant Questions
Apr 10, 2023 Business Updates For The First Quarter Ended 31 March 2023
Mar 31, 2023 Replace - Notice Of Extraordinary General Meeting
Mar 31, 2023 Replace - Notice Of Annual General Meeting
Mar 22, 2023 Notice Of Extraordinary General Meeting
Mar 22, 2023 Sustainability Report 2022
Mar 22, 2023 Annual Reports And Related Documents
Mar 22, 2023 Notice Of Annual General Meeting
Mar 15, 2023 Issuance Of HKD755 Million In Aggregate Principal Amount Of 4.85% Fixed Rate Notes Due 15 March 2033 Pursuant To The U.S.$3 Billion Euro-Medium Term Note Programme
Mar 15, 2023 Debt - Listing Confirmation - HK$755 Million 4.85% Fixed Rate Notes Due 2033
Mar 13, 2023 Redemption On Maturity And Cancellation Of S$100 Million 2.8% Fixed Rate Notes Due 2023 (ISIN Code: SG79E1000001) Issued Pursuant To The S$2.5 Billion Multicurrency Medium Term Note Programme
Mar 08, 2023 Payment Of Management Fee By Way Of Issue Of Units In CapitaLand Integrated Commercial Trust
Mar 06, 2023 2023 Citi's Global Property CEO Conference (6-7 March 2023)
Feb 27, 2023 Redemption On Maturity And Cancellation Of HK$885 Million 3.28% Fixed Rate Notes Due 2023 (ISIN Code: XS0857430077) Issued Pursuant To The US$2 Billion Euro-Medium Term Note Programme
Feb 14, 2023 Presentation For Investor Meetings In Hong Kong (Based On FY 2022 Results)
Feb 01, 2023 Notice Of Valuation Of Real Assets - Asset Valuation
Feb 01, 2023 Notice Of Record Date And Distribution Payment Date - Capital Distribution

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