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China Central Place in Beijing
Huamao Place in Huizhou
Retail Properties in the United Kingdom
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Home
Investor Relations
Announcements
Announcements
Date
Announcements
Year
2024
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
2024-12-18
Next Day Disclosure Return - Change in Issued Units
2024-12-04
Election by the Manager for Base Fee and Variable Fee to be paid by way of Cash and Units in Spring Real Estate Investment Trust
2024-12-02
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
2024-11-29
Next Day Disclosure Return
2024-11-28
Next Day Disclosure Return - Change in Issued Units
2024-11-26
Next Day Disclosure Return
2024-11-25
Next Day Disclosure Return
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