Sygnia Itrix Collective Investment Scheme - Sygnia Itrix Global Property ETFresolved to make a distribution to holders of SYGP securities recorded in the register on January 04, 2019 in respect of the period ended December 2018. The net distribution payable to holders will be an amount of 26.38022 cents per SYGP security. The distribution will be paid to holders on January 07, 2019. Last day to trade "cum" distribution is on December 31, 2018 and the securities trade "ex" distribution is on January 02, 2019.