Satrix Property Securities Declares Distribution for the Quarter Ended 30 June 2021, Payable on 21 July 2021
July 09, 2021 at 10:30 am EDT
Satrix Collective Investment Scheme declared a distribution to holders of Satrix Property Securities recorded in the register on 16 July 2021 in respect of the quarter ended 30 June 2021. An net Distribution amount is ZAR 11.95240 cents per Satrix Property Securities is declared. Securities trade "ex" distribution is 14 July 2021, Record date is 16 July 2021 and Payment date is 21 July 2021.