Hui Xian Real Estate Investment Trust Announces Final Distribution for the Period July 1, 2018 to December 31, 2018, Payable on or About 17 May 2019
April 12, 2019 at 06:28 am EDT
Hui Xian Real Estate Investment Trust announced the final distribution per Unit for the period from 1 July 2018 to 31 December 2018 was RMB 0.1239 and the Distribution Reinvestment Arrangement will be made available to Unitholders under which Eligible Unitholders will be entitled to have a scrip distribution in lieu of a cash distribution. Eligible Unitholders can elect to receive their 2018 Final Distribution wholly in the form of cash, or wholly in the form of new Units, or a combination of both. The expected date for the payment of cash distribution and the dispatch of new Unit certificates for Scrip Units is on or about 17 May 2019.