Stor-Age Property REIT Limited announced the declaration of the gross final dividend (number 14) of 60.05 cents per share for the six months ended 30 September 2022 (Cash Dividend). The salient dates and times in relation to the Cash Dividend are as follows: Last day to trade cum-dividend: 29 November, 2022; Shares to trade ex-dividend is 30 November, 2022; Record date is 2 December, 2022; Payments to Certificated Shareholders and accounts credited by CSDP or broker of dematerialised Shareholders is 5 December, 2022.