领展房产基金(00823.HK) 公布截至今年9月底止中期业绩,可分派总额按年增加4.3%至34.76亿元。每基金单位分派于期内按年增加3.7%至134.89仙。9月底止的净负债比率为20.6%,而3月底时为19.5%。
公布日期 | 派息事项 | 派息内容 |
---|---|---|
2024/05/29 | 末期业绩 | 普通股息:港元 1.3257 |
2023/11/08 | 中期业绩 | 普通股息:港元 1.3008 |
2023/05/31 | 末期业绩 | 普通股息:港元 1.1880 |
2023/02/10 | 特别报告 | 供股:5股供1股@港元44.2000 |
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