Announcements

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Date Title
Nov 08, 2022 Payment Of Base Fee By Way Of Issue Of New Units In OUE Commercial Real Estate Investment Trust
Nov 03, 2022 Third Quarter 2022 Business Update
Oct 06, 2022 Date Of Release Of Business Updates For The Third Quarter Ended 30 September 2022
Sep 28, 2022 Presentation For CGS-CIMB Securities Corporate TR Webinar
Sep 05, 2022 Presentation For SGX-REITAS Education Series
Aug 24, 2022 Presentation For Citi-SGX-REITAS REITs And Sponsors Forum
Aug 17, 2022 Disclosure Pursuant To Rule 704(31) Of The Listing Manual Of The Singapore Exchange Securities Trading Limited
Jul 28, 2022 Payment Of Base Fee By Way Of Issue Of New Units In OUE Commercial Real Estate Investment Trust
Jul 25, 2022 Notice Of Books Closure And Distribution Payment Date - Capital Distribution
Jul 25, 2022 Notice Of Books Closure And Distribution Payment Date - Tax-Exempt Income Distribution
Jul 25, 2022 Notice Of Books Closure And Distribution Payment Date - Taxable Income Distribution
Jul 25, 2022 Financial Statements And Related Announcement - Half Yearly Results
Jul 08, 2022 Date Of Release Of Financial Results For The Half-Year Period Ended 30 June 2022
Jun 22, 2022 Presentation For HSBC 6th Annual Asia Credit Conference
Jun 21, 2022 Presentation For Citi Asia Pacific Property Conference
Jun 15, 2022 Appointment Of Liquidators For OUE H-T Treasury Pte. Ltd.
May 27, 2022 Issuance Of S$50,000,000 4.20% Notes Due 2027 (To Be Consolidated And Form A Single Series With The Existing S$100,000,000 4.20% Notes Due 2027 Issued On 5 May 2022) Under The S$2,000,000,000 Multicurrency Debt Issuance Programme
May 25, 2022 Minutes Of The Annual General Meeting Held On 26 April 2022
May 23, 2022 Pricing Of Offering Of S$50,000,000 4.20% Notes Due 2027 (To Be Consolidated And Form A Single Series With The Existing S$100,000,000 4.20% Notes Due 2027 Issued On 5 May 2022) Under The S$2,000,000,000 Multicurrency Debt Issuance Programme
May 18, 2022 Presentation For BNP Paribas Singapore Property Day

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