Peligro

ERES REIT Declares July 2021 Monthly Distribution

Retrieved on: 
Thursday, July 15, 2021

TORONTO, July 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the July 2021 monthly cash distribution of 0.00917 per Unit and Class B LP Unit (the July Distribution), being equivalent to 0.110 per Unit annualized.

Key Points: 
  • TORONTO, July 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the July 2021 monthly cash distribution of 0.00917 per Unit and Class B LP Unit (the July Distribution), being equivalent to 0.110 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on July 30, 2021, with payment on August 16, 2021.
  • The final cash distribution in respect of June 2021 was C$0.01354 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES Board of Trustees.

ERES REIT Declares June 2021 Monthly Distribution

Retrieved on: 
Tuesday, June 15, 2021

TORONTO, June 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the June 2021 monthly cash distribution of 0.00917 per Unit and Class B LP Unit (the June Distribution), being equivalent to 0.110 per Unit annualized.

Key Points: 
  • TORONTO, June 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the June 2021 monthly cash distribution of 0.00917 per Unit and Class B LP Unit (the June Distribution), being equivalent to 0.110 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on June 30, 2021, with payment on July 15, 2021.
  • The final cash distribution in respect of May 2021 was C$0.01347 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES Board of Trustees.

ERES REIT Declares March 2021 Monthly Distribution

Retrieved on: 
Monday, March 15, 2021

TORONTO, March 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the March 2021 monthly cash distribution of 0.00917 per Unit and Class B LP Unit (the March Distribution), being equivalent to 0.110 per Unit annualized.

Key Points: 
  • TORONTO, March 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the March 2021 monthly cash distribution of 0.00917 per Unit and Class B LP Unit (the March Distribution), being equivalent to 0.110 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on March 31, 2021, with payment on April 15, 2021.
  • The final cash distribution in respect of February 2021 was C$0.01313 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES Board of Trustees.

ERES REIT Declares February 2021 Monthly Distribution

Retrieved on: 
Tuesday, February 16, 2021

TORONTO, Feb. 16, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the February 2021 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the February Distribution), being equivalent to 0.105 per Unit annualized.

Key Points: 
  • TORONTO, Feb. 16, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the February 2021 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the February Distribution), being equivalent to 0.105 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on February 26, 2021, with payment on March 15, 2021.
  • The final cash distribution in respect of January 2021 was C$0.01343 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES board of trustees.

ERES REIT Declares January 2021 Monthly Distribution

Retrieved on: 
Friday, January 15, 2021

TORONTO, Jan. 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the January 2021 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the January Distribution), being equivalent to 0.105 per Unit annualized.

Key Points: 
  • TORONTO, Jan. 15, 2021 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the January 2021 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the January Distribution), being equivalent to 0.105 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on January 29, 2021, with payment on February 16, 2021.
  • Registered Unitholders will be provided with an option to elect to receive such distribution in Euros rather than Canadian dollars.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES board of trustees.

ERES REIT Declares December 2020 Monthly Distribution

Retrieved on: 
Tuesday, December 15, 2020

TORONTO, Dec. 15, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the December 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the December Distribution), being equivalent to 0.105 per Unit annualized.

Key Points: 
  • TORONTO, Dec. 15, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the December 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the December Distribution), being equivalent to 0.105 per Unit annualized.
  • Registered Unitholders will be provided with an option to elect to receive such distribution in Euros rather than Canadian dollars.
  • The final cash distribution in respect of November 2020 was C$0.01351 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES board of trustees.

ERES REIT Declares November 2020 Monthly Distribution

Retrieved on: 
Monday, November 16, 2020

TORONTO, Nov. 16, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the November 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the November Distribution), being equivalent to 0.105 per Unit annualized.

Key Points: 
  • TORONTO, Nov. 16, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the November 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the November Distribution), being equivalent to 0.105 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on November 30, 2020, with payment on December 15, 2020.
  • The final cash distribution in respect of October 2020 was C$0.01352 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES board of trustees.

ERES REIT Declares October 2020 Monthly Distribution

Retrieved on: 
Thursday, October 15, 2020

TORONTO, Oct. 15, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the October 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the October Distribution), being equivalent to 0.105 per Unit annualized.

Key Points: 
  • TORONTO, Oct. 15, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the October 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the October Distribution), being equivalent to 0.105 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on October 30, 2020, with payment on November 16, 2020.
  • The final cash distribution in respect of September 2020 was C$0.01348 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES board of trustees.

ERES REIT Declares September 2020 Monthly Distribution

Retrieved on: 
Tuesday, September 15, 2020

TORONTO, Sept. 15, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the September 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the September Distribution), being equivalent to 0.105 per Unit annualized.

Key Points: 
  • TORONTO, Sept. 15, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the September 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the September Distribution), being equivalent to 0.105 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on September 30, 2020, with payment on October 15, 2020.
  • The final cash distribution in respect of August 2020 was C$0.01366 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES board of trustees.

ERES REIT Declares August 2020 Monthly Distribution

Retrieved on: 
Monday, August 17, 2020

TORONTO, Aug. 17, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the August 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the August Distribution), being equivalent to 0.105 per Unit annualized.

Key Points: 
  • TORONTO, Aug. 17, 2020 (GLOBE NEWSWIRE) -- European Residential Real Estate Investment Trust (TSX: ERE.UN, ERES) is pleased to announce that the trustees of ERES have declared the August 2020 monthly cash distribution of 0.00875 per Unit and Class B LP Unit (the August Distribution), being equivalent to 0.105 per Unit annualized.
  • The distribution will be payable to holders of the Units and Class B LP Units (the Unitholders) of record on August 31, 2020, with payment on September 15, 2020.
  • The final cash distribution in respect of July 2020 was C$0.01366 per Unit and Class B LP Unit.
  • ERES intends to continue to make regular monthly distributions, subject to the discretion of the ERES board of trustees.