HOME > Investor Relations > Distributions and Financial Results Information

Distributions and Financial Results Information

Cash distribution for the 11th Fiscal Period ended July 31, 2017

■Cash distribution per unit: 6,633 yen

  • The calculation period is from February 1, 2017 to July 31, 2017.
  • Only the unitholders of record as of July 31, 2017 are eligible to receive the cash distribution.
  • Distribution payments are planned to begin in October 16, 2017.

Cash distribution forecast for the 12th Fiscal Period ending January 31, 2018

■Cash distribution per unit: 6,800 yen

  • The cash distribution forecast above is a forecast of the future as of September 13, 2017 calculated based on certain assumptions. Accordingly, the actual cash distribution may differ from the forecast due to a variety of reasons, including future acquisitions or sales of real estate and other assets, trends in the real estate market and other markets, and changes in other circumstances surrounding KDR.
  • In addition, the forecast should not be construed as a guarantee of the amount of cash distribution.
  • Only the unitholders of record as of January 31, 2018 are eligible to receive the cash distribution.
  • The final trading day on the Tokyo Stock Exchange to be eligible for cash distributions is January 26, 2018.

Questions Regarding Procedures for Receiving Distributions

Any questions about the procedures for receiving distributions should be made to the Stock Transfer Agency Business Planning Department of Sumitomo Mitsui Trust Bank, Ltd.

Stock Transfer Agency Business Planning Department
Sumitomo Mitsui Trust Bank, Ltd.

TEL: 0120-782-031 (Japanese only, toll-free)