Equity Listing - REITS::Payment of Management Fee by way of issue of Units in SP...
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Equity Listing - REITS::Payment of Management Fee by way of issue of Units in SPH REIT
Issuer & Securities
Issuer/Manager | SPH REIT MANAGEMENT PTE. LTD. |
Security Not Found | No |
Security Name | SPH REIT |
Security Short Name | SPHREIT |
ISIN | SG2G02994595 |
Stock Code | SK6U |
Announcement Details
Announcement Title | Equity Listing - REITS |
Date & Time of Broadcast | 30-Jul-2014 18:13:48 |
Status | New |
Announcement Sub Title | Payment of Management Fee by way of issue of Units in SPH REIT |
Announcement Reference | SG140730OTHROPUN |
Submitted By (Co./Ind. Name) | Lim Wai Pun |
Designation | Company Secretary |
Description(Please provide a detailed description of the announcement in the box below) | Please refer to attached announcement. SPONSORSHIP STATEMENT: Credit Suisse (Singapore) Limited was the sole global coordinator and issue manager for the initial public offering of SPH REIT (the "Offering"). Credit Suisse (Singapore) Limited, DBS Bank Ltd. and Oversea-Chinese Banking Corporation Limited were the joint bookrunners and underwriters of the Offering (collectively, the "Joint Bookrunners"). The Joint Bookrunners for the Offering assume no responsibility for the contents of this announcement. |
Listing Details
Form of Issue | Registered |
Primary Listing | Yes |
Country of Primary Listing | Singapore |
Issue Date | 30/07/2014 |
Listing Date | 31/07/2014 09:00:00 |
Issue Currency | Singapore Dollar |
Trading Currency | Singapore Dollar |
Lot Size | 1,000 |
Asset Class | REITS |
Agent Details
Registrar Boardroom Corporate & Advisory Services Pte. Ltd.
Attachments
SPHREITMgtFeeIssueAnnouncement3Q30.7.2014 .pdf
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30/07/2014
SPH REIT MANAGEMENT PTE. LTD. (Registration No: 201305497E) (Incorporated in the Republic of Singapore) PAYMENT OF MANAGEMENT FEE BY WAY OF ISSUE OF UNITS IN SPH REITThe Board of Directors of SPH REIT Management Pte. Ltd. (the "Company"), as manager of SPH REIT, wishes to announce that a total of 3,801,439 units in SPH REIT ("Units") have been issued today for the purpose of paying management fees to the Company (the "Management Fee Units"). The detailed breakdown is as follows:
Period | Number of Management Fee Units | Issue Price (S$) |
1 March 2014 to 31 May 2014 | 3,801,439 | $1.02051 |
1 The issue price per Management Fee Unit issued as payment of management fees for the period from
1 March 2014 to 31 May 2014 is the volume weighted average price for a Unit for all trades done on Singapore Exchange Securities Trading Limited (the "SGX-ST") in the ordinary course of trading for the period of ten business days immediately preceding 31 May 2014.
For the above-mentioned period, the Company has elected to receive all its management fees in the form of Units.
With the abovementioned issue of the Management Fee Units, the Company's unitholding in
SPH REIT is 13,281,488 and the total number of issued Units in SPH REIT is 2,514,276,488.
BY ORDER OF THE BOARD SPH REIT Management Pte. Ltd. (Company Registration No: 201305497E) As manager of SPH REIT
Lim Wai Pun / Khor Siew Kim
Company Secretaries
30 July 2014
Credit Suisse (Singapore) Limited was the sole global coordinator and issue manager for the initial public offering of SPH REIT (the "Offering"). Credit Suisse (Singapore) Limited, DBS Bank Ltd. and Oversea- Chinese Banking Corporation Limited were the joint bookrunners and underwriters of the Offering (collectively, the "Joint Bookrunners").
The Joint Bookrunners for the Offering assume no responsibility for the contents of this announcement.
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IMPORTANT NOTICE
This announcement is for information only and does not constitute an invitation or offer to acquire, purchase or subscribe for Units.
The value of Units and the income derived from them, if any, may fall or rise. Units are not obligations of, deposits in, or guaranteed by the Manager or any of its affiliates. An investment in Units is subject to investment risks, including the possible loss of the principal amount invested.
Investors should note that they will have no right to request the Manager to redeem or purchase their Units for so long as the Units are listed on Singapore Exchange Securities Trading Limited (the "SGX- ST"). It is intended that Unitholders may only deal in their Units through trading on the SGX-ST. The listing of the Units on the SGX-ST does not guarantee a liquid market for the Units.
Credit Suisse (Singapore) Limited was the sole global coordinator and issue manager for the initial public offering of SPH REIT (the "Offering"). Credit Suisse (Singapore) Limited, DBS Bank Ltd. and Oversea- Chinese Banking Corporation Limited were the joint bookrunners and underwriters of the Offering (collectively, the "Joint Bookrunners").
The Joint Bookrunners for the Offering assume no responsibility for the contents of this announcement.
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