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Investor Presentaiton

Distribution Details Distribution Period Distribution per Unit 21 October 2021 to 31 December 2021 1.80 S cents Last Day of Trading on "cum" Basis Ex-Date Record Date Distribution Payment Date CapitaLand China Trust 8 February 2022, 5.00 pm 9 February 2022, 9.00 am 10 February 2022, 5.00 pm 7 March 2022 Financial Results for FY 2021 15
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