National Storage REIT announced dividend of AUD 0.05400000 per fully paid ordinary/units stapled securities for the six months ending June 30, 2022. Ex-date is on June 29, 2022, record date is on June 30, 2022 and payment date is September 2, 2022.
Market Closed -
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5-day change | 1st Jan Change | ||
2.27 AUD | +3.18% | +4.13% | -1.30% |
27/03 | National Storage Reit Announces Board and Executive Changes | CI |
21/02 | Maas Group Signs Self-Storage Portfolio Sale, Development Contracts with National Storage REIT | MT |
EPS Revisions
1st Jan change | Capi. | |
---|---|---|
-1.30% | 2.01B | |
-5.29% | 50.37B | |
-5.13% | 32.2B | |
-5.56% | 9.69B | |
-8.49% | 4.33B | |
-1.96% | 2.93B | |
-8.63% | 2.83B | |
-2.32% | 2.35B | |
+5.31% | 1.01B | |
-8.13% | 967M |
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- National Storage REIT Announces Dividend for the Six Months Ending June 30, 2022, Payable on September 2, 2022