SGX Listed REIT

CAMBRIDGE INDUSTRIAL TRUST (SGX:J91U)



CAMBRIDGE INDUSTRIAL TRUST (SGX:J91U) has changed the issuer name / code to ESR-REIT (SGX:J91U) with effect from 2017-06-23.

CAMBRIDGE INDUSTRIAL TRUST (SGX:J91U) @ SGinvestors.io
SGD 0
0 / 0 %
Share Price as of: -
Market / ISIN Code: SGX Mainboard /
Sector / Industry / Sub-Industry: Real Estate / Equity Real Estate Investment Trusts (REITs) / Industrial REITs


Cambridge Industrial Trust Corporate Action - Dividends / Rights / SplitsCAMBRIDGE INDUSTRIAL TRUST Corporate Action - Dividends / Rights / Splits SGX Listed Cambridge Industrial Trust (SGX:J91U) Corporate Action - Dividends / Rights / Splits J91U.SI Corporate Action - Dividends / Rights / Splits
Action TypeEx DateRecord DatePayment DateDetails
DIVIDEND2022-08-032022-08-042022-09-27SGD 0.00035
DIVIDEND2022-08-032022-08-042022-09-27SGD 0.00426
DIVIDEND2022-08-032022-08-042022-09-27SGD 0.00089
DIVIDEND2022-04-202022-04-212022-06-231 Cash Options
DIVIDEND2022-04-202022-04-212022-06-233 Cash Options
DIVIDEND2022-04-202022-04-212022-06-231 Cash Options
DIVIDEND2022-02-072022-02-082022-03-303 Cash Options
DIVIDEND2022-02-072022-02-082022-03-301 Cash Options
DIVIDEND2022-02-072022-02-082022-03-301 Cash Options
DIVIDEND2021-11-032021-11-052021-12-293 Cash Options
DIVIDEND2021-11-032021-11-052021-12-291 Cash Options
DIVIDEND2021-08-032021-08-042021-09-16SGD 0.00344
RIGHTS2021-08-032021-08-04Ratio: 32:1000
DIVIDEND2021-05-142021-05-172021-06-17SGD 0.0041
DIVIDEND2021-04-292021-04-302021-06-243 Cash Options
DIVIDEND2021-01-272021-01-282021-03-193 Cash Options
DIVIDEND2020-11-062020-11-092020-12-303 Cash Options
DIVIDEND2020-07-232020-07-242020-09-173 Cash Options
DIVIDEND2020-04-302020-05-042020-06-243 Cash Options
DIVIDEND2020-01-312020-02-032020-03-093 Cash Options
DIVIDEND2020-01-312020-02-032020-03-091 Cash Options
DIVIDEND2019-10-102019-10-112019-11-08SGD 0.00163
DIVIDEND2019-10-102019-10-112019-11-08SGD 0.00982
RIGHTS2019-09-202019-09-23Ratio: 29:1000
DIVIDEND2019-07-302019-07-312019-08-30SGD 0.00053
DIVIDEND2019-07-302019-07-312019-08-30SGD 0.00006
DIVIDEND2019-06-242019-06-252019-07-26SGD 0.00833
DIVIDEND2019-06-242019-06-252019-07-26SGD 0.00112
DIVIDEND2019-05-032019-05-062019-06-103 Cash Options
DIVIDEND2019-05-032019-05-062019-06-101 Cash Options
DIVIDEND2019-01-252019-01-282019-02-28SGD 0.00047
DIVIDEND2019-01-252019-01-282019-02-28SGD 0.00794
DIVIDEND2018-10-042018-10-082018-11-26010718 - 151018 SGD 0.00175
DIVIDEND2018-10-042018-10-082018-11-26010718 - 151018 SGD 0.00993
DIVIDEND2018-08-172018-08-212018-09-19SGD 0.00113
DIVIDEND2018-08-172018-08-212018-09-19SGD 0.00888
DIVIDEND2018-04-262018-04-302018-05-31010118 - 310318 SGD 0.00033
DIVIDEND2018-04-262018-04-302018-05-31010118 - 310318 SGD 0.00814
OFFER2018-03-052018-03-07199RTS:1000SH @ SGD 0.54
DIVIDEND2018-01-232018-01-252018-02-28011017-3112DRP SGD 0.00929
DIVIDEND2017-10-242017-10-262017-11-240107-300917 DRP SGD 0.00964
DIVIDEND2017-07-192017-07-212017-08-31DRP;0104-300617 SGD 0.00956
DIVIDEND2017-05-022017-05-042017-05-31010117 - 310317 SGD 0.01004
DIVIDEND2017-02-012017-02-032017-02-28011016-311216 SGD 0.00996
DIVIDEND2016-11-012016-11-032016-11-30010716 - 300916 SGD 0.00987
DIVIDEND2016-07-282016-08-012016-08-31010416-300616 SGD 0.01078
DIVIDEND2016-05-052016-05-092016-05-31010116-310316 SGD 0.01112
DIVIDEND2016-01-202016-01-222016-02-29OCT15-DEC15,DRP SGD 0.01139
DIVIDEND2015-10-282015-10-302015-12-080107-300915DRP SGD 0.01204
DIVIDEND2015-07-292015-07-312015-09-08APR15-JUN15,DRP SGD 0.0115
DIVIDEND2015-07-292015-07-312015-09-08APR15-JUN15,DRP SGD 0.00075
DIVIDEND2015-04-282015-04-302015-06-10010115 - 310315 SGD 0.01137
DIVIDEND2015-04-282015-04-302015-06-10010115 - 310315 SGD 0.00088
DIVIDEND2015-01-222015-01-262015-02-27011014 - 311214 SGD 0.01233
DIVIDEND2015-01-222015-01-262015-02-27011014 - 311214 SGD 0.00019
DIVIDEND2014-10-292014-10-312014-12-12010714 - 300914 SGD 0.01173
DIVIDEND2014-10-292014-10-312014-12-12010714 - 300914 SGD 0.00077
DIVIDEND2014-07-312014-08-042014-09-10010414 - 300614 SGD 0.01022
DIVIDEND2014-07-312014-08-042014-09-10010414 - 300614 SGD 0.00093
DIVIDEND2014-07-312014-08-042014-09-10010414 - 300614 SGD 0.00002
DIVIDEND2014-07-312014-08-042014-09-10010414 - 300614 SGD 0.00134
DIVIDEND2014-04-232014-04-252014-06-04010114-310314 SGD 0.01141
DIVIDEND2014-04-232014-04-252014-06-04010114-310314 SGD 0.00108
DIVIDEND2014-04-232014-04-252014-06-04010114-310314 SGD 0.00002
DIVIDEND2014-01-232014-01-272014-02-28011013 - 311213 SGD 0.001
DIVIDEND2014-01-232014-01-272014-02-28011013 - 311213 SGD 0.01147
DIVIDEND2014-01-232014-01-272014-02-28011013 - 311213 SGD 0.00004
DIVIDEND2013-11-072013-11-112013-12-17010713 - 300913 SGD 0.0115
DIVIDEND2013-11-072013-11-112013-12-17010713 - 300913 SGD 0.00101
DIVIDEND2013-07-302013-08-012013-09-091APR-30JUN, DRP SGD 0.01127
DIVIDEND2013-07-302013-08-012013-09-091APR-30JUN, DRP SGD 0.00018
DIVIDEND2013-07-302013-08-012013-09-091APR-30JUN, DRP SGD 0.00095
DIVIDEND2013-04-242013-04-262013-05-311JAN-31MAR, DRP SGD 0.0121
DIVIDEND2013-04-242013-04-262013-05-311JAN-31MAR, DRP SGD 0.00024
DIVIDEND2013-01-242013-01-282013-02-28OCT-DEC12,DRP SGD 0.00954
DIVIDEND2013-01-242013-01-282013-02-28OCT-DEC12,DRP SGD 0.00275
DIVIDEND2012-11-052012-11-072012-12-201JUL-30SEP, DRP SGD 0.01135
DIVIDEND2012-11-052012-11-072012-12-201JUL-30SEP, DRP SGD 0.00069
DIVIDEND2012-08-012012-08-032012-09-120104-300612,DRP SGD 0.00079
DIVIDEND2012-08-012012-08-032012-09-120104-300612,DRP SGD 0.01101
DIVIDEND2012-04-242012-04-262012-06-081JAN-31MAR,DRP SGD 0.0005
DIVIDEND2012-04-242012-04-262012-06-081JAN-31MAR,DRP SGD 0.01121
DIVIDEND2012-02-062012-02-082012-02-29011011 - 311211 SGD 0.01118
DIVIDEND2011-10-182011-10-202011-11-23010711 - 300911 SGD 0.01082
DIVIDEND2011-07-252011-07-272011-08-25010411 - 300611 SGD 0.01036
DIVIDEND2011-05-052011-05-092011-06-14010111 - 310311 SGD 0.01001
RIGHTS2011-03-162011-03-18OFFER OF 1 FOR 8 @ SGD 0.429
DIVIDEND2011-02-162011-02-182011-03-24181110 - 311210 SGD 0.00566
DIVIDEND2010-10-272010-10-292010-12-06230810 - 300910 SGD 0.00507
DIVIDEND2010-10-272010-10-292010-12-06011010 - 171110 SGD 0.00627
OFFER2010-10-272010-10-29OFFER OF 1 FOR 25 @ SGD 0.531
DIVIDEND2010-08-182010-08-202010-09-16010710 - 220810 SGD 0.0068
DIVIDEND2010-07-212010-07-232010-09-08APR-JUN2010,DRP SGD 0.01238
DIVIDEND2010-04-272010-04-292010-06-15JAN-MAR10, DRP SGD 0.00012
DIVIDEND2010-04-272010-04-292010-06-15JAN-MAR10, DRP SGD 0.01262
DIVIDEND2010-02-032010-02-052010-03-25OCT-DEC09,DRP SGD 0.00048
DIVIDEND2010-02-032010-02-052010-03-25OCT-DEC09,DRP SGD 0.01329
DIVIDEND2009-11-032009-11-052009-11-30010709-300909 SGD 0.01344
DIVIDEND2009-07-302009-08-032009-08-28010409-300609 SGD 0.01345
DIVIDEND2009-05-042009-05-062009-05-29010109 - 310309 SGD 0.01291
DIVIDEND2009-02-052009-02-092009-02-27011008-311208 SGD 0.01373
DIVIDEND2008-11-052008-11-072008-11-28010708-300908 SGD 0.0149
DIVIDEND2008-08-052008-08-072008-08-29010408 - 300608 SGD 0.01561
DIVIDEND2008-05-022008-05-062008-05-28010108-310308 SGD 0.01588
DIVIDEND2008-02-052008-02-112008-02-29181007 - 311207 SGD 0.01258
DIVIDEND2007-10-152007-10-172007-11-071JULTO17OCT07 SGD 0.0201
DIVIDEND2007-08-022007-08-062007-08-29010407-300607 SGD 0.0156
DIVIDEND2007-04-302007-05-032007-05-30010107 - 310307 SGD 0.01434
DIVIDEND2007-01-312007-02-022007-02-28011006-311206 SGD 0.01422
DIVIDEND2006-11-012006-11-032006-11-29250706 - 300906 SGD 0.01006





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