SET Announcements
13 February 2026
Financial Statement Yearly 2025 (Audited)
13 February 2026
Notification of Dividend Payment (Revised)
13 February 2026
Notification of 2026 Two-way Communication of KPN Real Estate Investment Trust
13 February 2026
Management Discussion and Analysis Yearly Ending 31 Dec 2025
13 February 2026
Notification of Dividend Payment
13 February 2026
Net Asset Value per Unit as of 31 December 2025
13 February 2026
Audited Yearly financial performance (F45)
13 February 2026
Financial Statement Yearly 2025 (Audited)
12 November 2025
Report NAV as of 30 September 2025
12 November 2025
Reviewed financial performance Quarter 3 (F45)
12 November 2025
Management Discussion and Analysis Quarter 3 Ending 30 Sep 2025
12 November 2025