Year
Latest
All
2567
2566
2565
2564
2563
2562
2561
2560
2559
2558
2557
08 Feb 2023
Net Asset Value per Unit Report as at 31 December 2022
19 Jan 2023
Informing of the transactions between the REIT and the Trustee and between the REIT and connected person of the Trustee
10 Jan 2023
Net Asset Value per Unit Report as at 30 November 2022
13 Dec 2022
Net Asset Value per Unit Report as at 31 October 2022
07 Dec 2022
WHART's new units to be traded on December 8, 2022
02 Dec 2022
The Eighth Additional Investment of WHA Premium Growth Freehold and Leasehold Real Estate Investment Trust
25 Nov 2022
Report on the results of sale of investment units/trust units offered to existing unitholders via preferential public offering, public offering, private placement (F53-5)
14 Nov 2022
Publication of the Third Quarterly Report of the Year 2022 of WHA Premium Growth Freehold and Leasehold Real Estate Investment Trust on WHART's website
14 Nov 2022
Net Asset Value per Unit Report as at 30 September 2022
14 Nov 2022
Reviewed financial performance Quarter 3 (F45)
14 Nov 2022
Management Discussion and Analysis Quarter 3 Ending 30 Sep 2022
14 Nov 2022
Notification of the 35th dividend payment and the book closing date
14 Nov 2022
Financial Statement Quarter 3/2022 (Reviewed)
14 Nov 2022
Notification of the Final Offering Price of WHA Premium Growth Freehold and Leasehold Real Estate Investment Trust for the Seventh Capital Increase (Revised Template)
14 Nov 2022
Notification of the Final Offering Price of WHA Premium Growth Freehold and Leasehold Real Estate Investment Trust for the Seventh Capital Increase
31 Oct 2022
Publication of the Notice of subscription right for additional trust units of the seventh capital increase on WHART's website
17 Oct 2022
Notification of Effectiveness of Registration Statement for the Offering of Trust Units and the Prospectus and the Additional Material Information for the Offering of Additional Trust Units for the 7th Capital Increase (Revised Template)
12 Oct 2022
Notification of Effectiveness of Registration Statement for the Offering of Trust Units and the Prospectus and the Additional Material Information for the Offering of Additional Trust Units for the 7th Capital Increase
10 Oct 2022
Net Asset Value per Unit Report as at 31 August 2022
06 Oct 2022
Notification of the record date for determining existing trust unitholders entitled to subscribe for additional trust units for the seventh capital increase
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