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15 Jan 2026
Notification Of Results Release
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31 Dec 2025
Tax Ruling In Respect Of Issuance Of S$100,000,000 3.25 Per Cent. Subordinated Perpetual Securities Pursuant To The S$2,000,000,000 Multicurrency Debt Issuance Programme
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31 Dec 2025
Tax Ruling In Respect Of Issuance Of S$100,000,000 3.25 Per Cent. Subordinated Perpetual Securities Pursuant To The S$2,000,000,000 Multicurrency Debt Issuance Programme
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23 Dec 2025
Changes To S-REIT Constituents In Benchmark Index
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17 Dec 2025
Update On Rent Review In Relation To The Master Lease With Toshin Development Singapore Pte Ltd ("Toshin")
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15 Dec 2025
Redemption Of S$100,000,000 3.85 Per Cent. Perpetual Securities (ISIN: SGXF40957189) (The "Perpetual Securities") Issued By HSBC Institutional Trust Services (Singapore) Limited (In Its Capacity As Trustee Of Starhill Global Real Estate Investment Trust) (The "Issuer") Under The S$2,000,000,000 Multicurrency Debt Issuance Programme
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15 Dec 2025
Redemption Of S$100,000,000 3.85 Per Cent. Perpetual Securities (ISIN: SGXF40957189) (The "Perpetual Securities") Issued By HSBC Institutional Trust Services (Singapore) Limited (In Its Capacity As Trustee Of Starhill Global Real Estate Investment Trust) (The "Issuer") Under The S$2,000,000,000 Multicurrency Debt Issuance Programme
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26 Nov 2025
Minutes Of 16th Annual General Meeting Of Starhill Global Real Estate Investment Trust Held On 29 October 2025
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31 Oct 2025
Redemption Of S$100,000,000 3.85 Per Cent. Perpetual Securities (ISIN: SGXF40957189) (The "Perpetual Securities") Issued By HSBC Institutional Trust Services (Singapore) Limited (In Its Capacity As Trustee Of Starhill Global Real Estate Investment Trust) (The "Issuer") Under The S$2,000,000,000 Multicurrency Debt Issuance Programme
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31 Oct 2025
Redemption Of S$100,000,000 3.85 Per Cent. Perpetual Securities (ISIN: SGXF40957189) (The "Perpetual Securities") Issued By HSBC Institutional Trust Services (Singapore) Limited (In Its Capacity As Trustee Of Starhill Global Real Estate Investment Trust) (The "Issuer") Under The S$2,000,000,000 Multicurrency Debt Issuance Programme
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30 Oct 2025
Disclosure Of Interest/ Changes In Interest Of Trustee-Manager/ Responsible Person - Disclosure Of Interest/ Changes In Interest Of Trustee-Manager/ Responsible Person
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30 Oct 2025
Payment Of Management Fee By Way Of Issue Of Units In Starhill Global REIT
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30 Oct 2025
Replace - Results Of Annual General Meeting Held On 29 October 2025
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29 Oct 2025
First Quarter FY 2025/26 Business Updates
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29 Oct 2025
Results Of Annual General Meeting Held On 29 October 2025
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22 Oct 2025
Annual General Meeting To Be Held On 29 October 2025 - Responses To Substantial And Relevant Questions
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15 Oct 2025
Date Of Release Of Starhill Global REIT's Business Updates For First Quarter Ended 30 September 2025
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10 Oct 2025
Issuance Of S$100,000,000 3.25 Per Cent. Subordinated Perpetual Securities Pursuant To The S$2,000,000,000 Multicurrency Debt Issuance Programme
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10 Oct 2025
Debt - Listing Confirmation - S$100,000,000 3.25 Per Cent. Subordinated Perpetual Securities
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01 Oct 2025
Pricing Of S$100,000,000 3.25 Per Cent. Subordinated Perpetual Securities Pursuant To The S$2,000,000,000 Multicurrency Debt Issuance Programme