On 17 June 2021, the board of directors of Link Asset Management Limited (the Manager), as manager of Link Real Estate Investment Trust (Link), declared a final distribution of 148.34 HK cents per unit of Link (the Unit) for the financial year ended 31 March 2021, payable on 12 August 2021, to the unit holders of Link (the Unit holders) whose names appeared on the register of Unit holders on 5 July 2021 (the Record Date).