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Date |
Title |
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26 Mar 2025 |
Share Buy Back - Daily Share Buy-Back Notice :: Unit Buy-Back - Daily Unit Buy-Back Notice |
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25 Mar 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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24 Mar 2025 |
ESR-REIT Completes Divestment Of 1 Third Lok Yang Road And 4 Fourth Lok Yang Road In Singapore |
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24 Mar 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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21 Mar 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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20 Mar 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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20 Mar 2025 |
Issue Of S$125 Million 5.75% Subordinated Perpetual Securities Pursuant To The S$750,000,000 Multicurrency Debt Issuance Programme |
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20 Mar 2025 |
Debt - Listing Confirmation - S$125,000,000 5.75 Per Cent. Subordinated Perpetual Securities |
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13 Mar 2025 |
Pricing Of S$125 Million 5.75% Subordinated Perpetual Securities Pursuant To The S$750,000,000 Multicurrency Debt Issuance Programme |
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13 Mar 2025 |
Subordinated Perpetual Securities Comprised In Series 006 (ISIN: SG7IC6000006) (The "Perpetual Securities") Issued By Perpetual (Asia) Limited (In Its Capacity As Trustee Of ESR-REIT) (The "Issuer") Under Its S$750,000,000 Multicurrency Debt Issuance Programme |
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12 Mar 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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11 Mar 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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11 Mar 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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10 Mar 2025 |
Disclosure Of Interest/ Changes In Interest Of Trustee-Manager/ Responsible Person - Disclosure Of Interest/ Changes In Interest Of Trustee-Manager / Responsible Person |
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10 Mar 2025 |
Payment Of Management Fees By Way Of Issue Of New Units In ESR-REIT |
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27 Feb 2025 |
Issue Of S$100,000,000 4.05% Notes Due 2030 Pursuant To The S$750,000,000 Multicurrency Debt Issuance Programme |
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27 Feb 2025 |
Entry Into A Facility Agreement For Standby Letters of Credit / Demand Guarantee Of Up To An Aggregate Amount Of SGD 20,000,000 |
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27 Feb 2025 |
Update On 2 Fishery Port Road |
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27 Feb 2025 |
Debt - Listing Confirmation - S$100,000,000 4.05 Per Cent. Fixed Rate Notes Due 2030 |
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26 Feb 2025 |
Entry Into SGD 160,000,000 Sustainability-Linked Unsecured Term Loan And Revolving Credit Facilities |
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21 Feb 2025 |
ESR-REIT Successfully Prices S$100.0 Million 4.05% Fixed Rate Notes Due 2030 As Part Of Capital Management Strategy, With c.2.5x Subscription |
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20 Feb 2025 |
Pricing Of S$100,000,000 4.05% Notes Due 2030 Pursuant To The S$750,000,000 Multicurrency Debt Issuance Programme |
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18 Feb 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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13 Feb 2025 |
Receipt Of Approval In-Principle For The Consolidated Units Pursuant To The Proposed Unit Consolidation |
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11 Feb 2025 |
Unit Buy-Back - Daily Unit Buy-Back Notice |
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10 Feb 2025 |
Proposed Unit Consolidation |
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27 Jan 2025 |
Divestment Of 1 Third Lok Yang Road And 4 Fourth Lok Yang Road In Singapore At 3.5% Premium To Valuation |
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24 Jan 2025 |
Notice Of Record Date And Distribution Payment Date - Taxable Income Distribution - ESR-REIT A |
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24 Jan 2025 |
Withdraw - Notice Of Record Date And Distribution Payment Date - Taxable Income Distribution - ESR-REIT A |
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24 Jan 2025 |
Notice Of Record Date And Distribution Payment Date - Taxable Income Distribution - ESR-REIT A |
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24 Jan 2025 |
Notice Of Record Date And Distribution Payment Date - Taxable Income Distribution - ESR-REIT |
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24 Jan 2025 |
Notice Of Valuation Of Real Assets - Asset Valuation |
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24 Jan 2025 |
ESR-REIT Delivers FY2024 DPU Of 2.119 Cents; Transformational Acquisitions Improve Asset & Earnings Quality, Paving Way For DPU Growth |
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24 Jan 2025 |
Financial Statements And Related Announcement - Full Yearly Results |
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15 Jan 2025 |
Divestment Of 79 Tuas South Street 5 In Singapore At 1.5% Premium To Valuation |
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3 Jan 2025 |
Date Of Release Of ESR-REIT's Unaudited Financial Results For The Half Year And Full Year Ended 31 December 2024 |
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