Satrix Resi Portfolio Declares Distribution for the Quarter Ended 30 September 2018, Payable on 24 October 2018
October 12, 2018 at 08:55 pm IST
The Manager and Trustees of the Satrix (being Satrix Managers (RF) Proprietary Limited and Standard Chartered Bank, respectively) have declared a distribution of aggregated amount of 76.55000 cents per Satrix Resi security to holders of Satrix Resi securities recorded in the register on 19 October 2018 in respect of the quarter ended 30 September 2018. Last day to trade ‘cum’ distribution is 16 October 2018. Securities trade ‘ex’ distribution is 17 October 2018. Payment date is 24 October 2018.