SGX Listed REIT

MAPLETREE INDUSTRIAL TRUST (SGX:ME8U)


MAPLETREE INDUSTRIAL TRUST (SGX:ME8U) @ SGinvestors.io
SGD 2.260
+0.030 / +1.35%
Share Price as of: 2022-11-29 17:16
Market / ISIN Code: SGX Mainboard / SG2C32962814
Sector / Industry / Sub-Industry: Real Estate / Equity Real Estate Investment Trusts (REITs) / Industrial REITs


Mapletree Industrial Trust Dividends and Corporate ActionsMAPLETREE INDUSTRIAL TRUST Dividends and Corporate Actions SGX Listed Mapletree Industrial Trust (SGX:ME8U) Dividends and Corporate Actions ME8U.SI Dividends and Corporate Actions
Action TypeEx DateRecord DatePayment DateDetails
DIVIDEND2022-11-022022-11-032022-12-12SGD 0.0089
DIVIDEND2022-11-022022-11-032022-12-12SGD 0.0007
DIVIDEND2022-11-022022-11-032022-12-12SGD 0.0240
DIVIDEND2022-08-012022-08-022022-09-09SGD 0.0251
DIVIDEND2022-08-012022-08-022022-09-09SGD 0.0007
DIVIDEND2022-08-012022-08-022022-09-09SGD 0.0091
DIVIDEND2022-05-052022-05-062022-06-151 Cash Options
DIVIDEND2022-05-052022-05-062022-06-151 Cash Options
DIVIDEND2022-05-052022-05-062022-06-153 Cash Options
DIVIDEND2022-05-052022-05-062022-06-151 Cash Options
DIVIDEND2022-02-032022-02-042022-03-153 Cash Options
DIVIDEND2022-02-032022-02-042022-03-151 Cash Options
DIVIDEND2022-02-032022-02-042022-03-151 Cash Options
DIVIDEND2022-02-032022-02-042022-03-151 Cash Options
DIVIDEND2021-11-022021-11-032021-12-033 Cash Options
DIVIDEND2021-11-022021-11-032021-12-03SGD 0.0097
ENTITLEMENT2021-11-022021-11-032021-12-03SGD 0.0007
DIVIDEND2021-08-032021-08-042021-09-033 Cash Options
DIVIDEND2021-08-032021-08-042021-09-03SGD 0.0055
RIGHTS2021-05-282021-05-31Ratio: 5:100
DIVIDEND2021-05-282021-05-312021-06-283 Cash Options
ENTITLEMENT2021-05-062021-05-072021-06-08SGD 0.001
DIVIDEND2021-05-062021-05-072021-06-08SGD 0.0075
DIVIDEND2021-05-062021-05-072021-06-083 Cash Options
DIVIDEND2021-02-052021-02-082021-03-08SGD 0.0049
ENTITLEMENT2021-02-052021-02-082021-03-08SGD 0.0001
DIVIDEND2021-02-052021-02-082021-03-083 Cash Options
DIVIDEND2020-11-032020-11-042020-12-01SGD 0.0055
DIVIDEND2020-11-032020-11-042020-12-013 Cash Options
DIVIDEND2020-06-302020-07-012020-07-283 Cash Options
ENTITLEMENT2020-05-052020-05-062020-06-04SGD 0.0013
DIVIDEND2020-05-052020-05-062020-06-043 Cash Options
ENTITLEMENT2020-01-292020-01-302020-02-26SGD 0.0001
DIVIDEND2020-01-292020-01-302020-02-26SGD 0.0022
DIVIDEND2020-01-292020-01-302020-02-263 Cash Options
DIVIDEND2019-09-242019-09-252019-10-21SGD 0.001
DIVIDEND2019-09-242019-09-252019-10-213 Cash Options
DIVIDEND2019-07-302019-07-312019-08-28NA NA
DIVIDEND2019-07-302019-07-312019-08-283 Cash Options
DIVIDEND2019-04-292019-04-302019-06-101 Cash Options
DIVIDEND2019-04-292019-04-302019-06-103 Cash Options
DIVIDEND2019-04-292019-04-302019-06-101 Cash Options
ENTITLEMENT2019-02-182019-02-192019-02-26SGD 0.001
DIVIDEND2019-02-182019-02-192019-03-26SGD 0.0161
DIVIDEND2019-01-292019-01-302019-03-081 Cash Options
DIVIDEND2019-01-292019-01-302019-03-081 Cash Options
DIVIDEND2019-01-292019-01-302019-03-083 Cash Options
DIVIDEND2018-10-292018-10-312018-12-061JUL-30SEP,DRP SGD 0.0001
DIVIDEND2018-10-292018-10-312018-12-061JUL-30SEP,DRP SGD 0.0286
DIVIDEND2018-10-292018-10-312018-12-061JUL-30SEP,DRP SGD 0.0014
DIVIDEND2018-07-302018-08-012018-08-30SGD 0.029
DIVIDEND2018-07-302018-08-012018-08-30SGD 0.001
DIVIDEND2018-04-272018-05-022018-05-30010118-310318 SGD 0.0263
DIVIDEND2018-04-272018-05-022018-05-30010118-310318 SGD 0.0011
DIVIDEND2018-04-272018-05-022018-05-30010118-310318 SGD 0.0021
DIVIDEND2018-01-292018-01-312018-02-28021117 - 311217 SGD 0.0001
DIVIDEND2018-01-292018-01-312018-02-28021117 - 311217 SGD 0.0188
DIVIDEND2017-10-302017-11-012017-11-28010717-300917 SGD 0.0002
DIVIDEND2017-10-302017-11-012017-11-28010717-300917 SGD 0.0397
DIVIDEND2017-07-312017-08-022017-08-29010417-300617 SGD 0.0292
DIVIDEND2017-04-282017-05-032017-05-30010117 - 310317 SGD 0.028
DIVIDEND2017-04-282017-05-032017-05-30010117 - 310317 SGD 0.0008
DIVIDEND2017-01-312017-02-022017-02-28011016-311216 SGD 0.0001
DIVIDEND2017-01-312017-02-022017-02-28011016-311216 SGD 0.0282
DIVIDEND2016-10-312016-11-022016-11-28010716 - 300916 SGD 0.0001
DIVIDEND2016-10-312016-11-022016-11-28010716 - 300916 SGD 0.0282
DIVIDEND2016-08-012016-08-032016-08-29010416-300616 SGD 0.0285
DIVIDEND2016-04-292016-05-042016-05-30010116 - 310316 SGD 0.0278
DIVIDEND2016-04-292016-05-042016-05-30010116 - 310316 SGD 0.0003
DIVIDEND2016-02-012016-02-032016-03-070110-311215 DRP SGD 0.0282
DIVIDEND2015-10-262015-10-282015-12-040107-300915DRP SGD 0.0002
DIVIDEND2015-10-262015-10-282015-12-040107-300915DRP SGD 0.0277
DIVIDEND2015-07-272015-07-292015-09-03APR15-JUN15,DRP SGD 0.0273
DIVIDEND2015-04-272015-04-292015-06-04010115 - 310315 SGD 0.0261
DIVIDEND2015-04-272015-04-292015-06-04010115 - 310315 SGD 0.0004
DIVIDEND2015-01-262015-01-282015-03-05011014 - 311214 SGD 0.0003
DIVIDEND2015-01-262015-01-282015-03-05011014 - 311214 SGD 0.0264
DIVIDEND2014-10-282014-10-302014-12-04010714 - 300914 SGD 0.026
DIVIDEND2014-07-292014-07-312014-09-01010414 - 300614 SGD 0.0243
DIVIDEND2014-07-292014-07-312014-09-01010414 - 300614 SGD 0.0008
DIVIDEND2014-04-282014-04-302014-06-03010114-310314 SGD 0.025
DIVIDEND2014-04-282014-04-302014-06-03010114-310314 SGD 0.0001
DIVIDEND2014-01-272014-01-292014-03-061OCT-31DEC, DRP SGD 0.0237
DIVIDEND2014-01-272014-01-292014-03-061OCT-31DEC, DRP SGD 0.0014
DIVIDEND2013-10-282013-10-302013-12-031JUL-30SEP, DRP SGD 0.0233
DIVIDEND2013-10-282013-10-302013-12-031JUL-30SEP, DRP SGD 0.0014
DIVIDEND2013-07-312013-08-022013-09-041APR-30JUN, DRP SGD 0.0226
DIVIDEND2013-07-312013-08-022013-09-041APR-30JUN, DRP SGD 0.0017
DIVIDEND2013-04-292013-05-022013-06-041JAN-31MAR,DRP SGD 0.0219
DIVIDEND2013-04-292013-05-022013-06-041JAN-31MAR,DRP SGD 0.0018
DIVIDEND2013-01-282013-01-302013-03-05011012 - 311212 SGD 0.0214
DIVIDEND2013-01-282013-01-302013-03-05011012 - 311212 SGD 0.0018
DIVIDEND2012-10-302012-11-012012-11-29010712 - 300912 SGD 0.0211
DIVIDEND2012-10-302012-11-012012-11-29010712 - 300912 SGD 0.0018
DIVIDEND2012-07-302012-08-012012-08-29010412 - 300612 SGD 0.0018
DIVIDEND2012-07-302012-08-012012-08-29010412 - 300612 SGD 0.0208
DIVIDEND2012-04-302012-05-032012-05-29010112 - 310312 SGD 0.002
DIVIDEND2012-04-302012-05-032012-05-29010112 - 310312 SGD 0.0202
DIVIDEND2012-02-012012-02-032012-02-29011011 - 311211 SGD 0.002
DIVIDEND2012-02-012012-02-032012-02-29011011 - 311211 SGD 0.0196
DIVIDEND2011-11-012011-11-032011-11-29230811 - 300911 SGD 0.0008
DIVIDEND2011-11-012011-11-032011-11-29230811 - 300911 SGD 0.0083
DIVIDEND2011-08-022011-08-042011-08-31010411 - 220811 SGD 0.0277
OFFER2011-08-022011-08-04OFFER OF 2 FOR 25 @ SGD 1.06
DIVIDEND2011-08-022011-08-042011-08-31010411 - 220811 SGD 0.0035
DIVIDEND2011-05-032011-05-052011-05-31010111 - 310311 SGD 0.0023
DIVIDEND2011-05-032011-05-052011-05-31010111 - 310311 SGD 0.017
DIVIDEND2011-01-282011-02-012011-02-28211010 - 311210 SGD 0.0018
DIVIDEND2011-01-282011-02-012011-02-28211010 - 311210 SGD 0.0134





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