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OXMU

SGXC75818630

Sociétés de placement immobilier commercial

Marché Fermé - 11:04:50 24/08/2026 Varia. 5j. Varia. 1 janv.
0,1500 USD -2,60% Graphique intraday de Prime US REIT -7,98% -23,86%

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12/08 Prime US REIT Reports Earnings Results for the Half Year Ended June 30, 2026
12/08 Prime US REIT's Attributable Profit Slides 51% in H1
12/08 Prime US REIT Announces First Half Distribution for the Period from 1 January 2026 to 30 June 2026, Payable on 30 September 2026
23/07 Prime US REIT Extends Maturity of $617 Million in Loan Facilities
12/05 Prime US REIT's Distributable Income Declines in Q1
06/04 Prime US REIT Secures 11-Year Lease in the US
06/04 Prime US REIT Signs Lease Agreement With S&P Global
13/02 Prime US REIT Announces Total Distribution from 6 October 2025 to 31 December 2025, Payable on 31 March 2026
12/02 Prime US REIT's DPU Shoots Up in H2 2025; Shares Down 4%
11/02 Prime US REIT Reports Earnings Results for the Full Year Ended December 31, 2025
11/02 Prime US REIT posts FY gross revenue USD133.304 million
11/11 Prime US REIT expects to hike distributable income payout ratio to at least 50% for 2H onwards
13/10/25 Prime US REIT Utilizes Private Placement Proceeds
06/10/25 Prime US REIT Issues Over 129 Million New Units
01/10/25 Singapore Shares Continue Ascend as City-State's Foreign Exchange Volume Rises in April
01/10/25 Prime US REIT Receives In-Principle Approval to List Nearly 129 Million Units
26/09/25 Singapore Shares Remain in Red; Addvalue Technologies Jumps 8%
26/09/25 Prime US REIT Raises $25 Million from Private Placement; Shares Down 10%
25/09/25 Prime US REIT to Raise $25 Million Through Private Placement
25/09/25 Prime US REIT Announces Advanced Distribution from July 1, 2025, to October 5, 2025, Payable on 14 November 2025
13/08/25 Prime US REIT's DPU Down 33% in H1
12/08/25 Prime US REIT Reports Earnings Results for the Half Year Ended June 30, 2025
12/08/25 Prime US REIT posts HY net property income US$35.8 million
12/08/25 Prime US REIT Announces Distribution for the Period from 1 January 2025 to 30 June 2025, Payable on 30 September 2025
22/07/25 Prime US REIT Extends Maturity Date of Credit Facility
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