Garda Property Group announced distribution of AUD 0.01800000 per unit of fully paid ordinary/units stapled securities for the quarter ending June 30, 2023. Ex-Date is June 29, 2023. Record Date is June 30, 2023.
Payment Date is July 17, 2023.
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Other stock markets
|
5-day change | 1st Jan Change | ||
1.11 AUD | 0.00% |
|
-1.33% | -9.76% |
Jun. 05 | Garda Property Group Upgrades FY2024 Distribution Payout Ratio Guidance | MT |
Jun. 05 | Garda Property Group Announces Fnal Quarterly Distribution of Fiscal Year 2024, Payable on July 16, 2024 | CI |
Garda Property Group announced distribution of AUD 0.01800000 per unit of fully paid ordinary/units stapled securities for the quarter ending June 30, 2023. Ex-Date is June 29, 2023. Record Date is June 30, 2023.
Payment Date is July 17, 2023.
1st Jan change | Capi. | |
---|---|---|
-9.76% | 149M | |
-7.54% | 46.23B | |
-7.86% | 20.43B | |
+2.96% | 15.79B | |
+13.69% | 11.48B | |
-2.91% | 9.98B | |
-2.18% | 8.36B | |
-15.84% | 8.31B | |
+4.70% | 7.99B | |
-4.81% | 5.55B |