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Jan 30, 2026
Announcement Pursuant To Rule 706A Of The Listing Manual
Notice Of Record And Distribution Payment Date - Capital Component
Notice Of Record And Distribution Payment Date - Taxable Income
Payment Of Base Management Fee By Way Of Issue Of Stapled Securities In CDLHT
Notice Of Valuation Of Real Assets
2H / FY 2025 Results Presentation
Financial Statements And Related Announcement - Full Yearly Results
Jan 20, 2026
Change - Announcement Of Appointment Of Independent Non-Executive Director
Change - Announcement Of Cessation Of Independent Non-Executive Director
Changes To The Composition Of Boards And Board Committees
Dec 29, 2025
Scheduled Date For Release Of Unaudited Financial Results For The Six Months And Full Year Ending 31 December 2025
Nov 19, 2025
Issue Of S$150,000,000 3.70 Per Cent. Subordinated Perpetual Securities Pursuant To The S$1,500,000,000 Multicurrency Debt Issuance Programme
Nov 18, 2025
Debt - Listing Confirmation - S$150,000,000 3.70 Per Cent. Subordinated Perpetual Securities
Nov 10, 2025
Pricing Of S$150,000,000 3.70 Per Cent. Subordinated Perpetual Securities Pursuant To The S$1,500,000,000 Multicurrency Debt Issuance Programme
Nov 05, 2025
Establishment Of S$1,500,000,000 Multicurrency Debt Issuance Programme
Oct 30, 2025
Disclosure Of Interest/ Changes In Interest Of Trustee-Manager/ Responsible Person - Disclosure Of Interest/ Changes In Interest Of Trustee-Manager/ Responsible Person
Operational Update For The Third Quarter And Nine Months Period Ended 30 September 2025
Sep 29, 2025
Scheduled Date For Release Of Operational Update For The Third Quarter And Nine Months Period Ending 30 September 2025