Current period: 1 July 2012 - 30 June 2013
Previous corresponding period: 1 July 2011 - 30 June 2012
2.4 | Distributions (dividends) | Amount per security | Franked amount per security |
Total distribution | 0.5 cents | Nil | |
Final distribution - 30 June 2013^ | 0.5 cents | Nil |
^ To be paid on 29 August 2013
2.5 | Record date for determining entitlements to the distribution | 28 June 2013 |
2.6 | A full explanation of the above figures is documented in Mirvac Industrial Trust's announcement to the market and audited financial report. |
30 June 2013 A$ | 30 June 2012 A$ | ||
9 | Net tangible asset per security attributable to unitholders | 0.21 | 0.19 |
All other information requiring disclosure to comply with listing rule 4.3A is contained in Mirvac Industrial Trust's announcement to the market and annual report for the year ended 30 June 2013.
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