To: An Authorised Person

For and on behalf of Mapletree Commercial Trust Management Ltd.

From: BlackRock, Inc.1

Relationship to MCT: Associate of MCT

Date: 21st January 2022

1. Disclosure of Dealings in MCT units ("MCT Units") during the Trust Scheme Period

Date of

Nature of Dealing

Number of MCT

Number of MCT

Price

Holdings in

Name of Registered Holder

Purchase/Sale

Units

Units

Transacted

MCT Units

or Identity of Principal or

Bought/Increased

Sold/Decreased

per MCT Unit

following the

Associate or other Person

Transaction

Dealing

20-Jan-22

Market purchase

BUY

18,400

1.85 SGD

153,210,900

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

10,900

1.85 SGD

153,221,800

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

3,200

1.85 SGD

153,225,000

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

27,400

1.85 SGD

153,252,400

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

77,700

1.85 SGD

153,330,100

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

426,200

1.85 SGD

153,756,300

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

23,000

1.85 SGD

153,779,300

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

7,100

1.85 SGD

153,786,400

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

3,700

1.85 SGD

153,790,100

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

500

1.85 SGD

153,790,600

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

2,900

1.85 SGD

153,793,500

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

7,600

1.85 SGD

153,801,100

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

2,500

1.8597 SGD

153,803,600

BlackRock, Inc.

20-Jan-22

Market purchase

BUY

118,200

1.8597 SGD

153,921,800

BlackRock, Inc.

1

Dealings on behalf of investment clients have been made on a discretionary (not non-discretionary) basis.

20-Jan-22

Market Purchase

In-specie

30,700

N/A

153,952,500

BlackRock, Inc.

Transfer

20-Jan-22

Stock Loan

Loan

825,775

N/A

154,778,275

BlackRock, Inc.

Return

BlackRock, Inc. owns or controls 154,778,275 MCT Units after the dealings reported above, representing approximately 4.66% of the total number of issued MCT Units2.

2. Disclosure of Dealings in MNACT units ("MNACT Units") during the Trust Scheme Period

Date of

Nature of Dealing

Number of MNACT

Number of

Price

Holdings in

Name of Registered

Purchase/Sale

Units

MNACT Units

Transacted

MNACT Units

Holder or Identity of

Bought/Increased

Sold/Decreased

per MNACT

following the

Principal or

Unit

Transaction

Associate or other

Person Dealing

20-Jan-22

Stock Loan

Loan Return

309,000

N/A

62,296,895

BlackRock, Inc.

BlackRock, Inc. owns or controls 62,296,895 MNACT Units after the dealings reported above, representing approximately 1.77% of the total number of issued MNACT Units3.

3. Disclosure of Dealings in Convertible Securities, Warrants, Options and Derivatives in respect of MCT Units ("Relevant MCT Securities") during the Trust Scheme Period

2

3

Based on 3,322,353,562 MCT Units outstanding as at the date hereof. Based on 3,527,974,156 MNACT Units outstanding as at the date hereof.

Number(2) of

Exercise

Holdings and Resultant

Name of Registered

Date /

Holder or Identity of

Date of

Nature of Transaction (Buy /

Price per MCT

Percentage (%) in MCT

Reference

Maturity Date

Principal or

Transaction(1)

Sell / Settlement)

Unit(4)

Units following

MCT Units

/ Closing-Out

Associate or other

Transaction

Date(3)

Person Dealing

20-Jan-22

24,800

1.855 SGD

BUY

N/A

BlackRock, Inc.

20-Jan-22

-132,000

N/A

1.8497 SGD

BlackRock, Inc.

SELL

See Question 1 above - this

Transaction does not result

20-Jan-22

Contract for

BUY

5,500

N/A

1.8565 SGD

BlackRock, Inc.

in a change in holdings in

difference (cash-

MCT Units, on the basis that

settled only)

the Transaction is cash-

20-Jan-22

BUY

400

N/A

1.8525 SGD

BlackRock, Inc.

settled

20-Jan-22

BUY

22,800

N/A

1.8575 SGD

BlackRock, Inc.

  1. In respect of derivatives, this would be the date of entering into or closing out of the derivative.
  2. In respect of derivatives, this would be the number of reference securities to which they relate.
  3. In respect of derivatives, this would be the maturity date of such derivatives.
  4. In respect of derivatives, this would be the reference price of such derivatives.

Other arrangements in relation to MCT Units or Relevant MCT Securities (if applicable): N/A

4. Disclosure of Dealings in Convertible Securities, Warrants, Options and Derivatives in respect of MNACT Units ("Relevant MNACT Securities") during the Trust Scheme Period

Number(2)

Exercise

Name of Registered

Date of

Nature of Transaction (Buy / Sell

of

Date /

Price per

Holdings and Resultant

Holder or Identity of

Reference

Maturity Date

MNACT

Percentage (%) in MNACT

Principal or Associate

Transaction(1)

/ Settlement)

MNACT

/ Closing-Out

Unit(4)

Units following Transaction

or other Person

Units

Date(3)

Dealing

  1. In respect of derivatives, this would be the date of entering into or closing out of the derivative.
  2. In respect of derivatives, this would be the number of reference securities to which they relate.
  3. In respect of derivatives, this would be the maturity date of such derivatives.
  4. In respect of derivatives, this would be the reference price of such derivatives.

Other arrangements in relation to MNACT Units or Relevant MNACT Securities (if applicable): N/A

The information relating to us/me or my close relatives (if applicable) is provided to the best of our/my knowledge, on a "best efforts" basis. I/We confirm that I/we agree to the MCT Manager disclosing the information provided herein to the Securities Industry Council and other regulatory authorities as may be required or necessary, such other persons as the MCT Manager may in its absolute discretion deem necessary or appropriate and in any public document which may be required by any regulatory authority or by any law or regulation (including, without limitation, the Singapore Code on Take-overs and Mergers).

I/We will promptly notify the MCT Manager should any of the said information prove to be untrue or incorrect in any respect between the date of this disclosure and the latest practicable date prior to the printing of the Scheme Document. In the absence of such notification, the parties involved in the preparation of the Scheme Document are entitled to assume that the information hereby furnished is true, accurate and complete and remains unchanged.

Yours faithfully

_______________________________

Name: Anh Do on behalf of BlackRock, Inc.

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Mapletree Commercial Trust published this content on 21 January 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 21 January 2022 06:41:09 UTC.