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Dividend

8 Mar 2016 07:00

STANDARD LIFE INVESTMENTS PROPERTY INCOME TRUST LTD - Dividend

STANDARD LIFE INVESTMENTS PROPERTY INCOME TRUST LTD - Dividend

PR Newswire

London, March 7

8 March 2016

Standard Life Investments Property Income Trust Limited

Dividend Announcement

As detailed in the prospectus, announced on 18 November 2015, amended by the supplementary prospectus announced on 15 December 2015, Standard Life Investments Property Income Trust Limited (the "Company") announced its intention to split the final interim dividend in respect of the period to 31 December 2015 into: (i) a fourth interim dividend for the period between 1 October 2015 and 20 December 2015 (the date immediately prior to Admission and the completion of the Acquisition) which was announced on 16 December 2015; and (ii) a fifth interim dividend for the period between 21 December 2015 and 31 December 2015. The Company’s existing Shareholders who were on the share register on 18 December 2015, the record date of the fourth interim dividend, qualify for the fourth and fifth interim dividends which together equal the equivalent of 1.161 pence for the quarter per Share. The New Shares issued pursuant to the Initial Placing and Offer only qualify for the fifth interim dividend.

The Company therefore announces that the fifth interim dividend will be 0.139 pence per share. The ex-dividend date, record date and payment date for the fifth interim dividend are as follows:

Ex-dividend Date 17 March 2016
Record Date18 March 2016
Payment Date31 March 2016

The split of this fifth interim dividend between a property income dividend and ordinary dividend is as follows:

Property Income Dividend (“PID”) 0.072 pence per share Ordinary Dividend (“Non PID”) 0.067 pence per share

The split of the fourth interim dividend of 1.022 pence per share, which was announced on 16 December 2015, is as follows:

Property Income Dividend (“PID”) 0.528 pence per share Ordinary Dividend (“Non PID”) 0.494 pence per share

This dividend is also payable on the 31 March 2016.

All Enquiries:The Company SecretaryNorthern Trust International Fund Administration Services (Guernsey) LimitedPO Box 255Trafalgar CourtLes BanquesSt Peter PortGuernseyGY1 3QLSharon A WilliamsTel: 01481 745436Fax: 01481 745186

Date   Source Headline
12th May 201511:07 amPRNCompany Factsheet
7th May 201512:33 pmPRNNet Asset Value(s)
29th Apr 20153:10 pmPRNDividend Declaration
20th Apr 20155:17 pmPRNNotice of AGM
1st Apr 20157:00 amRNSAnnual Accounts
31st Mar 201512:34 pmPRNDTR 5.6.1 Disclosure
9th Mar 201511:38 amPRNSLIPIT Purchase
3rd Mar 201512:02 pmPRNIssue of Equity - Replacement
26th Feb 201512:49 pmPRNIssue of Equity
20th Feb 20159:14 amPRNResult of Placing
12th Feb 20159:08 amPRNIntention to issue equity
28th Jan 201512:48 pmPRNUnaudited Net Asset Value
27th Jan 201511:11 amPRNInterim Dividend
5th Jan 201511:04 amPRNREIT Conversion
2nd Jan 20159:00 amPRNDirectorate Change
2nd Dec 201412:00 pmPRNDTR 5.6.1 disclosure
26th Nov 201412:08 pmPRNHolding(s) in Company
24th Nov 20141:49 pmPRNSLIPIT Purchase
20th Nov 20144:10 pmPRNResults of General Meeting
13th Nov 20143:27 pmPRNResults of Placing
13th Nov 20147:00 amPRNProposed Placing
12th Nov 201410:50 amPRNSLIPIT Purchase
4th Nov 201411:09 amPRNDividend Declaration
29th Oct 20143:44 pmPRNConversion to UK REIT
28th Oct 20147:00 amRNSUnaudited Net Asset Value
20th Oct 201411:47 amPRNResults of General Meeting
30th Sep 20145:16 pmPRNPublication of a Circular
30th Sep 201412:07 pmPRNDTR 5.6.1 Disclosure
25th Sep 20149:34 amPRNSale of Assets by SLIPIT
22nd Sep 20145:50 pmPRNIssue of Equity
22nd Sep 20141:45 pmPRNPublication of Supplementary Prospectus
19th Sep 20142:37 pmPRNSLIPIT Purchase
29th Aug 201411:25 amPRNHalf-yearly Report
15th Aug 20144:32 pmPRNBlock Listing Return
12th Aug 20149:39 amPRNSLIPIT Purchase
1st Aug 20143:41 pmPRNHolding(s) in Company
1st Aug 201412:49 pmPRNDirector Dealing
31st Jul 201411:34 amRNSHolding(s) in Company
30th Jul 20145:27 pmRNSHolding(s) in Company - Replacement
29th Jul 20144:29 pmRNSHolding(s) in Company
28th Jul 201410:00 amRNSIssue of New Ordinary Shares
16th Jul 20142:59 pmRNSCompliance with Model Code
16th Jul 201412:23 pmRNSInitial Placing and Offer Price
16th Jul 201412:18 pmRNSUnaudited Net Asset Value
4th Jul 20144:48 pmRNSLink to Prospectus
4th Jul 20147:00 amRNSDividend Declaration
1st Jul 20145:13 pmRNSPublication of Prospectus
25th Jun 20149:38 amRNSResult of General Meeting
19th Jun 20141:44 pmRNSSLIPIT Purchase
12th Jun 20149:39 amRNSSale of Assets by SLIPIT

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