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Investor Presentaiton

14 āœ“ CCT 2H 2017 Distribution Details Distribution period Distribution Per Unit 1 July to 31 December 2017 4.10 cents (1) Books Closure Date Distribution Payment Date Friday, 2 February 2018 Wednesday, 28 February 2018 Note: (1) For more information, please refer to page 24 of CCT 2017 Full Year Unaudited Financial Statement and Distribution announcement dated 25 January 2018. CapitaLand Commercial Trust Presentation February 2018 Cap/taLand Commercial Trust
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