Schroder Investment Management Australia Limited Announces Distribution for the Period Ending 28 June 2019, Payable on 11 July 2019
June 28, 2019 at 02:29 am
Schroder Investment Management Australia Limited announced forthcoming distribution Of 6.34 cents per unit, for the period ending 28 June 2019. Payment Date is 11 July 2019. Ex-Date 01 July 2019 and Record Date 02 July 2019.