Filter News & Publications

Vital allotment of distribution reinvestment plan units

Thursday, 23 March 2017

For the purposes of Listing Rule 7.12.1, the Manager of Vital Healthcare Property Trust, Vital Healthcare Management Limited, hereby advises the following new units have been issued:

(a) Class of Security: Vital Healthcare Property Trust ordinary units

ISIN: NZCHPE0001S4

(b) Number issued: 719,047

(c) Issue price: $2.043 per unit

(d) Payment terms: Cash, pursuant to the Distribution reinvestment plan

(e) Amount paid up: Fully paid

(f) Percentage of Class of Securities issued: 0.17% of the total number of units on issue immediately prior to the issue of the new units

(g) Reason for issue: Distribution reinvestment in respect of the distribution of 2.125 cents per unit payable on 23 March 2017

(h) Specific authority for issue: Distribution reinvestment plan

(i) Terms of issue: The units will rank equally in all respects with existing ordinary units in the Trust

(j) Total number of Securities of Class in existence after issue: 427,776,945

(k) Treasury Stock: Not applicable

(l) Date of issue: 23 March 2017

– ENDS -

Downloads