Unit Price
|
|
Bid |
Offer |
Mid-Market |
Offer
mid price inc.
matching fee |
Redemption
mid price inc.
matching fee |
NAV |
2020
|
March |
124.52* |
128.43* |
126.48* |
126.80* |
126.16* |
126.25* |
2020
|
June |
121.06* |
124.83* |
122.95* |
123.26*
|
122.64* |
122.73*
|
2020 |
September |
119.94 |
123.68 |
121.81 |
122.11 |
121.51 |
121.60 |
2020 |
December |
122.36 |
125.97 |
124.17 |
124.48 |
123.86 |
123.95 |
* This is an indicative NAV pricing and is published on a non-reliance basis. The underlying valuation of investment properties includes a material value uncertainty clause by the Valuer given the unknown future impact that COVID-19 might have on the real estate market.
Distribution
|
Distribution period |
Per Unit (p) |
Payment date |
2020 |
Q1 |
1.300 |
May 2020 |
2020 |
Q2 |
1.026 |
August 2020 |
2020 |
Q3 |
1.118 |
November 2020 |
2021 |
Q4 |
1.390 |
February 2021 |