DIVIDEND
Announced on 2023-02-24

CROMWELL EUROPEAN REIT

Event Type :
Cash Dividend/ Distribution
Event Type Code :
DVCA
Mandatory/Voluntary/Choice :
Choice
ISIN :
SGXC37098255
CA Reference :
SG230224DVCAO3RC
Financial Year End :
31 Dec 2022
Ex-date :
03 Mar 2023
Buy-In Last Cum Date :
03 Mar 2023
Record Date :
06 Mar 2023
Payment Date :
31 Mar 2023
Rate or Price :
Declared Rate: EUR 0.08494 per security/unit
Cash Option 002: SGD (Default Option)
Exchange Rate: EUR 1 to SGD 1.4425

Cash Option 001: EUR
Remarks :
Election Period: 10 Mar 2023 to 20 Mar 2023