XYMAX REIT Investment Corporation Announces Distribution for the Fiscal Period Ended February 2023, Payable on May 24, 2023 and Provides Dividend Guidance for the Fiscal Period Ending August 31, 2023 and Fiscal Period Ending February 29, 2024
For the Fiscal period ending August 31, 2023, the company expects Distribution of JPY 3,074 per unit against JPY 4,007 per unit for the same period a year ago.
For the Fiscal period ending February 29, 2024, the company expects Distribution of JPY 3,010 per unit.