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