About Spring REIT
Spring REIT Overview
Structure of Spring REIT
Investment Strategy
The Properties
China Central Place in Beijing
Huamao Place in Huizhou
Retail Properties in the United Kingdom
The REIT Manager
About the REIT Manager
Board of Directors and Committees
Management Team
Corporate Governance
Sustainability
Investor Relations
Announcements
Stock Information
Financial Reports and Presentations
Disclosure of Interests
Financial Calendar
News Releases
Dividend Distribution
FAQ
Dissemination of Corporate Communications
Contact Us
Menu
Spring REIT
Email Subscription
ENG
繁體
JPN
Investor Relations
Announcements
Stock Information
Financial Reports and Presentations
Disclosure of Interests
Financial Calendar
News Releases
Dividend Distribution
FAQ
Dissemination of Corporate Communications
Home
Investor Relations
Announcements
Announcements
Date
Announcements
Year
2024
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
2024-11-12
Next Day Disclosure Return
2024-11-11
Next Day Disclosure Return
2024-11-07
Next Day Disclosure Return
2024-11-06
Next Day Disclosure Return
2024-11-05
Next Day Disclosure Return
2024-11-04
Next Day Disclosure Return
2024-11-01
Next Day Disclosure Return
2024-11-01
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-10-31
Next Day Disclosure Return
2024-10-31
Payment of Base Fee and Variable Fee to Spring Asset Management Limited by Way of Units in Spring Real Estate Investment Trust and Cash
2024-10-30
Unaudited Operating Statistics for the Three Months Ended 30 September 2024
2024-10-23
Next Day Disclosure Return - Change in Issued Units
2024-10-10
Next Day Disclosure Return
2024-10-09
Next Day Disclosure Return
2024-10-08
Next Day Disclosure Return
2024-10-04
Next Day Disclosure Return
2024-10-02
Next Day Disclosure Return
2024-10-02
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-09-30
Next Day Disclosure Return
2024-09-27
Next Day Disclosure Return
2024-09-26
Next Day Disclosure Return - Change in Issued Units and Units Buy-Back
2024-09-25
Next Day Disclosure Return
2024-09-24
Next Day Disclosure Return
2024-09-23
Next Day Disclosure Return
2024-09-20
(1) Amendments to Trust Deed and (2) Additional Information to Explanatory Statement for Buy-Back Mandate
2024-09-20
Next Day Disclosure Return
2024-09-19
Next Day Disclosure Return
2024-09-17
Next Day Disclosure Return
2024-09-16
Next Day Disclosure Return
2024-09-13
Next Day Disclosure Return
2024-09-12
Next Day Disclosure Return
2024-09-11
Next Day Disclosure Return
2024-09-09
Next Day Disclosure Return
2024-09-04
Next Day Disclosure Return
2024-09-03
Next Day Disclosure Return
2024-09-02
Next Day Disclosure Return
2024-09-02
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-08-30
Next Day Disclosure Return
2024-08-29
Request Form
2024-08-29
Notification Letter to Non-registered Unitholders - Notice of publication of Interim Report on Spring REIT's website
2024-08-29
Change Request Form
2024-08-29
Notification Letter to Unitholders - Notice of publication of 2024 Interim Report
2024-08-29
2024 Interim Report
2024-08-28
Next Day Disclosure Return
2024-08-27
Next Day Disclosure Return
2024-08-27
Next Day Disclosure Return (Unit Buybacks on 26 August 2024 (Revised))
2024-08-27
Next Day Disclosure Return (Unit Buybacks on 23 August 2024 (Revised))
2024-08-26
Next Day Disclosure Return
2024-08-23
Next Day Disclosure Return
2024-08-22
Interim Distribution for the six months ended 30 June 2024
2024-08-22
Interim Results Announcement for the Six Months Ended 30 June 2024 and Closure of Register of Unitholders
2024-08-16
Next Day Disclosure Return
2024-08-16
(1) Payment of Base Fee and Variable Fee to Spring Asset Management Limited by Way of Units in Spring Real Estate Investment Trust and Cash; And (2) Completion of Issuance of Subject 2024 Manager Fee Units
2024-08-09
(1) Poll Results of the Extraordinary General Meeting Held on 9 August 2024 and (2) Grant of the Whitewash Waiver
2024-08-01
Date of Board Meeting
2024-08-01
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-07-29
Unaudited Operating Statistics for the Three Months Ended 30 June 2024
2024-07-23
Despatch of Circular in Relation to (1) Issuance of Subject 2024 Manager Fee Units and (2) Application for Whitewash Waiver
2024-07-22
Request Form
2024-07-22
Notification Letter to Non-registered Unitholders
2024-07-22
Change Request Form
2024-07-22
Notification Letter to Unitholders
2024-07-22
Form of Proxy for the Extraordinary General Meeting to be held on 9 August 2024
2024-07-22
Notice of Extraordinary General Meeting
2024-07-22
Circulars - (1) Issuance of Subject 2024 Manager Fee Units (2) Application for Whitewash Waiver; and (3) Notice of Extraordinary General Meeting
2024-07-22
Announcement - (1) Issuance of Subject 2024 Manager Fee Units and (2) Application for Whitewash Waiver
2024-07-03
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-06-03
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-05-29
Poll Results of the Annual General Meeting Held on 29 May 2024
2024-05-02
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-04-30
Next Day Disclosure Return
2024-04-30
Payment of Base Fee and Variable Fee to Spring Asset Management Limited by Way of Units in Spring Real Estate Investment Trust and Cash
2024-04-26
Unaudited Operating Statistics for the Three Months Ended 31 March 2024
2024-04-24
Request Form
2024-04-24
Notification Letter to Non-registered Unitholders - Notice of publication of (i) 2023 Annual Report; (ii) Circular to Unitholders dated 25 April 2024 in relation to: (1) Proposed Grant of General Mandate to Buy Back Units
2024-04-24
Change Request Form
2024-04-24
Notification Letter to Unitholders - Notice of publication of (i) 2023 Annual Report; (ii) Circular to Unitholders dated 25 April 2024 in relation to: (1) Proposed Grant of General Mandate to Buy Back Units; (2) Continual Service of Long Serving INED;
2024-04-24
Notice of Annual General Meeting
2024-04-24
Form of Proxy for the Annual General Meeting to be Held on 29 May 2024
2024-04-24
Circular to Unitholders in Relation to: (1) Proposed Grant of General Mandate to Buy Back Units; (2) Continual Service of Long Serving INEDs; And (3) Notice of Annual General Meeting and Closure of Register of Unitholders
2024-04-24
2023 Annual Report
2024-04-02
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-03-25
Next Day Disclosure Return
2024-03-25
Payment of base fee and variable fee to Spring Asset Management Limited by way of units in Spring Real Estate Investment Trust and cash
2024-03-25
(Updated) Final distribution for the period from 1 July 2023 to 31 December 2023
2024-03-21
Final Distribution For the Period From 1 July 2023 to 31 December 2023
2024-03-21
Annual Results Announcement for the Year Ended 31 December 2023 and Closure of Register of Unitholders
2024-03-01
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-03-01
Date of Board Meeting
2024-02-01
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units
2024-01-29
Next Day Disclosure Return
2024-01-19
Next Day Disclosure Return
2024-01-18
Next Day Disclosure Return
2024-01-18
Unaudited Operating Statistics For The Three Months Ended 31 December 2023
2024-01-17
Next Day Disclosure Return
2024-01-16
Next Day Disclosure Return
2024-01-15
Next Day Disclosure Return
2024-01-12
Next Day Disclosure Return
2024-01-11
Next Day Disclosure Return
2024-01-10
Next Day Disclosure Return
2024-01-09
Next Day Disclosure Return
2024-01-08
Next Day Disclosure Return
2024-01-05
Next Day Disclosure Return
2024-01-04
Next Day Disclosure Return
2024-01-03
Next Day Disclosure Return
2024-01-02
Next Day Disclosure Return
2024-01-02
Monthly Return for Collective Investment Scheme listed under Chapter 20 of the Exchange Listing Rules (other than listed open-ended Collective Investment Scheme) on Movements in Units