News
(I) Issue Price Of New Units Pursuant To The Distribution Reinvestment Plan For The Distribution Period From 1 January 2021 To 5 July 2021
(II) Actual Cumulative Distribution In Respect Of The Period From 1 January 2021 To 5 July 2021 - Capital Component
Announcement Title | Scrip Election/ Distribution/ DRP |
Date & Time of Broadcast | Jul 7, 2021 8:22 |
Status | Replace |
Corporate Action Reference | SG210628DVOPQNTT |
Submitted By (Co./ Ind. Name) | Ngiam May Ling |
Designation | Company Secretary |
Dividend/ Distribution Number | Applicable |
Value | 4 |
Dividend/ Distribution Type | Interim |
Financial Year End | 31/12/2021 |
Declared Dividend/ Distribution Rate (Per Share/ Unit) | USD 0.0121 |
Dividend/ Distribution Period | 01/01/2021 TO 05/07/2021 |
Number of Days | 186 |
Event Narrative | |
Narrative Type | Narrative Text |
Additional Text | This announcement supersedes the earlier announcement (announcement reference number: SG210624CAPDK07M) made on 24 June 2021. The revised Record Date is 5 July 2021. The revised Election Period is from 13 July 2021 to 27 July 2021. |
Additional Text | Prime US REIT has announced the distribution of US 3.37 to US 3.42 cents per unit for the period from 1 January 2021 to 5 July 2021 which comprises two components: (a) distribution out of tax-exempt income of US 2.21 cents; and (b) distribution out of capital of US 1.16 to US 1.21 cents. |
Taxation Conditions | The capital component of the Distribution represents a return of capital to Unitholders for Singapore income tax purposes and is therefore not subject to Singapore income tax. |
Taxation Conditions | Unitholders who do not submit required U.S. tax forms completely and accurately by Tuesday, 27 July 2021, will be subject to an effective withholding tax of 32.24% on the tax-exempt income distribution. |
Additional Text | Please refer to the attachment on revised Notice of Record Date Announcement. |
Additional Text | 07 July 2021 - Please refer to the attachment on the Issue Price of New Units pursuant to the Distribution Reinvestment Plan Announcement. |
Additional Text | 07 July 2021 - Please refer to the attachment on the Actual Cumulative Distribution Announcement. Prime US REIT has announced that the Cumulative Distribution per unit for the period from 1 January 2021 to 5 July 2021 is US 3.42 cents (comprising a tax-exempt income component of US 2.21 cents, and a capital component of US 1.21 cents). |
Event Dates | |
Record Date and Time | 05/07/2021 17:00:00 |
Ex Date | 02/07/2021 |
Cash Payment Details | |
Election Period | 13/07/2021 TO 27/07/2021 |
Default Option | Yes |
Option Currency | Singapore Dollar |
Payment Type | Tax Not Applicable |
Gross Rate (Per Share) | USD 0.0121 |
Net Rate (Per Share) | USD 0.0121 |
Pay Date | 20/08/2021 |
Gross Rate Status | Actual Rate |
Currency Pair | SGD/USD |
Security Option Details | |
Election Period | 13/07/2021 TO 27/07/2021 |
New Security ISIN | SGXC75818630 |
New Security Name | PRIME US REIT |
Security Not Found | No |
Issue/ Reinvestment Price | USD 0.832 |
Security Credit Date | 20/08/2021 |
Applicable for REITs/ Business Trusts/ Stapled Securities |
Attachments
- Issue Of New Units (Size: 142,097 bytes)
- Actual Advanced Distribution (Size: 172,978 bytes)