DIVIDEND
Announced on
2025-08-12
BUND CENTER INVESTMENT LTD
Event Type :
Cash Dividend/ Distribution
Event Type Code :
DVCA
Mandatory/Voluntary/Choice :
Mandatory
ISIN :
BMG1792W1367
CA Reference :
SG250812DVCAS5YV
Event Status :
New
Ex-date :
16 Sep 2025
Buy-In Last Cum Date :
16 Sep 2025
Record Date :
17 Sep 2025
Payment Date :
29 Sep 2025
Rate or Price :
Declared Rate: SGD 0.036 per security/unit
Payment Rate: SGD 0.036