Sunlight Real Estate Investment Trust announced ordinary final distribution for the year ended 30 June 2022 of HKD 0.128 per unit. Ex-dividend date is 22 September 2022. Record date is 28 September 2022.
Payment date is 11 October 2022.
Delayed
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5-day change | 1st Jan Change | ||
1.68 HKD | +2.44% | +13.51% | -22.94% |
Sunlight Real Estate Investment Trust announced ordinary final distribution for the year ended 30 June 2022 of HKD 0.128 per unit. Ex-dividend date is 22 September 2022. Record date is 28 September 2022.
Payment date is 11 October 2022.
1st Jan change | Capi. | |
---|---|---|
-22.94% | 356M | |
-6.30% | 46.33B | |
-7.47% | 20.51B | |
-4.85% | 12.94B | |
+14.82% | 11.45B | |
-4.85% | 9.75B | |
-0.47% | 8.51B | |
-15.18% | 8.43B | |
+0.65% | 7.6B | |
-16.19% | 5.69B |