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Additional Text | Reference is made to announcement made on 11 February 2015 on the Notice of Books Closure Date and Distribution Payment Date and Application of the Distribution Reinvestment Plan to the Distribution of 2.50 Singapore cents per unit in CRT for the period from 11 September 2014 to 31 December 2014. |
Taxation Conditions | Attached is the announcement regarding issue price of new units at S$0.926 per Unit to be issued under the Distribution Reinvestment Plan. |
Additional Text | DBS Bank Ltd. and Citigroup Global Markets Singapore Pte. Ltd. were the joint global coordinators, issue managers, bookrunners and underwriters (the "Joint Issue Managers") to the initial public offering of Units by the Trustee-Manager. The Joint Issue Managers assume no responsibility for the contents of this announcement. |