Investor RelationsNews

Notice To Unitholders On Exchange Rate For Computation Of Distribution In Pounds

BackMar 19, 2026
Announcement Title Scrip Election/ Distribution/ DRP
Date & Time of Broadcast Mar 19, 2026 17:45
Status Replace
Corporate Action Reference SG260209DVOPGOC1
Submitted By (Co./ Ind. Name) Liaw Liang Huat Joshua
Designation CEO
Dividend/ Distribution Number Applicable
Value 14
Dividend/ Distribution Type Interim
Financial Year End 31/12/2025
Declared Dividend/ Distribution Rate (Per Share/ Unit) GBP 0.0149
Dividend/ Distribution Period 01/07/2025 TO 31/12/2025
Number of Days 184
Event Narrative
Narrative Type Narrative Text
Additional Text Subsequent to the announcement on Notice of Record and Distribution Payment Date released on 9 February 2026, please refer to the attached Notice to Unitholders on Exchange Rate for Computation of Distribution in Pounds.
Additional Text Elite UK REIT has announced a distribution of GBP 1.49 pence per Unit for the period from 1 July 2025 to 31 December 2025.
Taxation Conditions The Distribution will be out of tax-exempt income and therefore exempt from Singapore income tax in the hands of all Unitholders.
Additional Text Please refer to the attached.
Event Dates
Record Date 20/02/2026
Ex Date 19/02/2026
Option 1-Cash Payment Details
Election Period 04/03/2026 TO 13/03/2026
Default Option Yes
Option Currency Singapore Dollar
Payment Type Tax Exempted
Gross Rate (Per Share) GBP 0.0149
Net Rate (Per Share) GBP 0.0149
Pay Date 30/03/2026
Gross Rate Status Actual Rate
Currency Pair SGD/GBP
Exchange Rate 1.704
Gross Rate in Option Currency SGD 0.02539
Option 2-Cash Payment Details
Election Period 04/03/2026 TO 13/03/2026
Default Option No
Option Currency United Kingdom Pound
Payment Type Tax Exempted
Gross Rate (Per Share) GBP 0.0149
Net Rate (Per Share) GBP 0.0149
Pay Date 30/03/2026
Gross Rate Status Actual Rate
Security Option Details
Election Period 04/03/2026 TO 13/03/2026
New Security ISIN SGXC59097235
New Security Name ELITE UK REIT
Security Not Found No
Fractional Disposition Method Round down fraction to last full unit
Issue/ Reinvestment Price GBP 0.3519
Security Credit Date 30/03/2026

Applicable for REITs/ Business Trusts/ Stapled Securities

Attachments

  1. Attachment 1 (Size: 107,608 bytes)
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