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Friday, February 13th, 2026
Stock Profile: ME8U
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Mapletree Industrial Trust (ME8U)


šŸ“Š Statistics





šŸ’° Dividend History


Current year to date yield: 7.58%

2026 — Total Amount: $0.158500 | Total Yield: 7.58%
Ex Date: 2026-02-04

Amount: $0.005900

Yield: 0.28%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0059 Per Security

Amount: $0.001900

Yield: 0.09%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0019 Per Security

Amount: $0.023900

Yield: 1.14%

Pay Date: 2026-03-12

Details: Declared Rate: SGD 0.0239 per security/unit

Amount: $0.005900

Yield: 0.28%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0059 Per Security

Amount: $0.001900

Yield: 0.09%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0019 Per Security

Amount: $0.023900

Yield: 1.14%

Pay Date: 2026-03-12

Details: Declared Rate: SGD 0.0239 per security/unit

Amount: $0.005900

Yield: 0.28%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0059 Per Security

Amount: $0.001900

Yield: 0.09%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0019 Per Security

Amount: $0.023900

Yield: 1.14%

Pay Date: 2026-03-12

Details: Declared Rate: SGD 0.0239 per security/unit

Amount: $0.005900

Yield: 0.28%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0059 Per Security

Amount: $0.001900

Yield: 0.09%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0019 Per Security

Amount: $0.023900

Yield: 1.14%

Pay Date: 2026-03-12

Details: Declared Rate: SGD 0.0239 per security/unit

Amount: $0.005900

Yield: 0.28%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0059 Per Security

Amount: $0.001900

Yield: 0.09%

Pay Date: 2026-03-12

Details: Rate: SGD 0.0019 Per Security

Amount: $0.023900

Yield: 1.14%

Pay Date: 2026-03-12

Details: Declared Rate: SGD 0.0239 per security/unit

2025 — Total Amount: $0.131100 | Total Yield: 6.31%
Ex Date: 2025-11-05

Amount: $0.006100

Yield: 0.29%

Pay Date: 2025-12-10

Details: Rate: SGD 0.0061 Per Security

Amount: $0.002300

Yield: 0.11%

Pay Date: 2025-12-10

Details: Rate: SGD 0.0023 Per Security

Amount: $0.023400

Yield: 1.11%

Pay Date: 2025-12-10

Details: Declared Rate: SGD 0.0234 per security/unit

Ex Date: 2025-08-04

Amount: $0.005600

Yield: 0.28%

Pay Date: 2025-09-08

Details: Rate: SGD 0.0056 Per Security

Amount: $0.002100

Yield: 0.10%

Pay Date: 2025-09-08

Details: Rate: SGD 0.0021 Per Security

Amount: $0.025000

Yield: 1.24%

Pay Date: 2025-09-08

Details: Declared Rate: SGD 0.025 per security/unit

Ex Date: 2025-05-08

Amount: $0.007900

Yield: 0.39%

Pay Date: 2025-06-13

Details: Rate: SGD 0.0079 Per Security

Amount: $0.001100

Yield: 0.05%

Pay Date: 2025-06-13

Details: Rate: SGD 0.0011 Per Security

Amount: $0.023500

Yield: 1.15%

Pay Date: 2025-06-13

Details: Declared Rate: SGD 0.0235 per security/unit

Ex Date: 2025-01-31

Amount: $0.008700

Yield: 0.40%

Pay Date: 2025-03-14

Details: Declared Rate: SGD 0.0087 per security/unit

Amount: $0.000600

Yield: 0.03%

Pay Date: 2025-03-14

Details: Declared Rate: SGD 0.0006 per security/unit

Amount: $0.023600

Yield: 1.10%

Pay Date: 2025-03-14

Details: Declared Rate: SGD 0.0236 per security/unit

Amount: $0.001200

Yield: 0.06%

Pay Date: 2025-03-14

Details: Declared Rate: SGD 0.0012 per security/unit

2024 — Total Amount: $0.135200 | Total Yield: 5.75%
Ex Date: 2024-11-06

Amount: $0.001200

Yield: 0.05%

Pay Date: 2024-12-18

Details: Declared Rate: SGD 0.0012 per security/unit

Amount: $0.008000

Yield: 0.33%

Pay Date: 2024-12-18

Details: Declared Rate: SGD 0.008 per security/unit

Amount: $0.000600

Yield: 0.02%

Pay Date: 2024-12-18

Details: Declared Rate: SGD 0.0006 per security/unit

Amount: $0.023900

Yield: 0.99%

Pay Date: 2024-12-18

Details: Declared Rate: SGD 0.0239 per security/unit

Ex Date: 2024-08-01

Amount: $0.000500

Yield: 0.02%

Pay Date: 2024-09-12

Details: Declared Rate: SGD 0.0005 per security/unit

Amount: $0.001100

Yield: 0.05%

Pay Date: 2024-09-12

Details: Declared Rate: SGD 0.0011 per security/unit

Amount: $0.025300

Yield: 1.10%

Pay Date: 2024-09-12

Details: Declared Rate: SGD 0.0253 per security/unit

Amount: $0.007400

Yield: 0.32%

Pay Date: 2024-09-12

Details: Declared Rate: SGD 0.0074 per security/unit

Ex Date: 2024-05-03

Amount: $0.000900

Yield: 0.04%

Pay Date: 2024-06-10

Details: Rate: SGD 0.0009 Per Security

Amount: $0.010000

Yield: 0.45%

Pay Date: 2024-06-10

Details: Rate: SGD 0.01 Per Security

Amount: $0.022700

Yield: 1.01%

Pay Date: 2024-06-10

Details: Declared Rate: SGD 0.0227 per security/unit

Ex Date: 2024-02-01

Amount: $0.000400

Yield: 0.02%

Pay Date: 2024-03-07

Details: Rate: SGD 0.0004 Per Security

Amount: $0.000700

Yield: 0.03%

Pay Date: 2024-03-07

Details: Rate: SGD 0.0007 Per Security

Amount: $0.023200

Yield: 0.95%

Pay Date: 2024-03-07

Details: Declared Rate: SGD 0.0232 per security/unit

Amount: $0.009300

Yield: 0.38%

Pay Date: 2024-03-07

Details: Rate: SGD 0.0093 Per Security

2023 — Total Amount: $0.134300 | Total Yield: 5.89%
Ex Date: 2023-11-01

Amount: $0.000300

Yield: 0.01%

Pay Date: 2023-12-05

Details: Rate: SGD 0.0003 Per Security

Amount: $0.000700

Yield: 0.03%

Pay Date: 2023-12-05

Details: Rate: SGD 0.0007 Per Security

Amount: $0.023700

Yield: 1.10%

Pay Date: 2023-12-05

Details: Declared Rate: SGD 0.0237 per security/unit

Amount: $0.008500

Yield: 0.40%

Pay Date: 2023-12-05

Details: Rate: SGD 0.0085 Per Security

Ex Date: 2023-08-02

Amount: $0.006600

Yield: 0.29%

Pay Date: 2023-09-05

Details: Declared Rate: SGD 0.0066 per security/unit

Amount: $0.000300

Yield: 0.01%

Pay Date: 2023-09-05

Details: Rate: SGD 0.0003 Per Security

Amount: $0.002200

Yield: 0.10%

Pay Date: 2023-09-05

Details: Rate: SGD 0.0022 Per Security

Ex Date: 2023-06-01

Amount: $0.000400

Yield: 0.02%

Pay Date: 2023-07-06

Details: Rate: SGD 0.0004 Per Security

Amount: $0.006300

Yield: 0.28%

Pay Date: 2023-07-06

Details: Rate: SGD 0.0063 Per Security

Amount: $0.018100

Yield: 0.80%

Pay Date: 2023-07-06

Details: Declared Rate: SGD 0.0181 per security/unit

Ex Date: 2023-05-05

Amount: $0.000900

Yield: 0.04%

Pay Date: 2023-06-07

Details: Rate: SGD 0.0009 Per Security

Amount: $0.000700

Yield: 0.03%

Pay Date: 2023-06-07

Details: Rate: SGD 0.0007 Per Security

Amount: $0.008800

Yield: 0.37%

Pay Date: 2023-06-07

Details: Rate: SGD 0.0088 Per Security

Amount: $0.022900

Yield: 0.97%

Pay Date: 2023-06-07

Details: Declared Rate: SGD 0.0229 per security/unit

Ex Date: 2023-02-02

Amount: $0.000700

Yield: 0.03%

Pay Date: 2023-03-14

Details: Declared Rate: SGD 0.0007 per security/unit

Amount: $0.009500

Yield: 0.40%

Pay Date: 2023-03-14

Details: Declared Rate: SGD 0.0095 per security/unit

Amount: $0.023700

Yield: 1.00%

Pay Date: 2023-03-14

Details: Declared Rate: SGD 0.0237 per security/unit

2022 — Total Amount: $0.138300 | Total Yield: 5.54%
Ex Date: 2022-11-02

Amount: $0.000700

Yield: 0.03%

Pay Date: 2022-12-12

Details: Declared Rate: SGD 0.0007 per security/unit

Amount: $0.024000

Yield: 1.08%

Pay Date: 2022-12-12

Details: Declared Rate: SGD 0.024 per security/unit

Amount: $0.008900

Yield: 0.40%

Pay Date: 2022-12-12

Details: Declared Rate: SGD 0.0089 per security/unit

Ex Date: 2022-08-01

Amount: $0.000700

Yield: 0.03%

Pay Date: 2022-09-09

Details: Declared Rate: SGD 0.0007 per security/unit

Amount: $0.025100

Yield: 0.93%

Pay Date: 2022-09-09

Details: Declared Rate: SGD 0.0251 per security/unit

Amount: $0.009100

Yield: 0.34%

Pay Date: 2022-09-09

Details: Declared Rate: SGD 0.0091 per security/unit

Ex Date: 2022-05-05

Amount: $0.001000

Yield: 0.04%

Pay Date: 2022-06-15

Details: Declared Rate: SGD 0.001 per security/unit

Amount: $0.023200

Yield: 0.90%

Pay Date: 2022-06-15

Details: Declared Rate: SGD 0.0232 per security/unit

Amount: $0.009900

Yield: 0.39%

Pay Date: 2022-06-15

Details: Declared Rate: SGD 0.0099 per security/unit

Amount: $0.000800

Yield: 0.03%

Pay Date: 2022-06-15

Details: Declared Rate: SGD 0.0008 per security/unit

Ex Date: 2022-02-03

Amount: $0.014400

Yield: 0.57%

Pay Date: 2022-03-15

Details: Declared Rate: SGD 0.0144 per security/unit

Amount: $0.000100

Yield: 0.00%

Pay Date: 2022-03-15

Details: Declared Rate: SGD 0.0001 per security/unit

Amount: $0.019700

Yield: 0.78%

Pay Date: 2022-03-15

Details: Declared Rate: SGD 0.0197 per security/unit

Amount: $0.000700

Yield: 0.03%

Pay Date: 2022-03-15

Details: Declared Rate: SGD 0.0007 per security/unit

2021 — Total Amount: $0.134000 | Total Yield: 4.75%
Ex Date: 2021-11-02

Amount: $0.009700

Yield: 0.35%

Pay Date: 2021-12-03

Details: Rate: SGD 0.0097 Per Security

Amount: $0.000700

Yield: 0.03%

Pay Date: 2021-12-03

Details: Rate: SGD 0.0007 Per Security

Amount: $0.024300

Yield: 0.88%

Pay Date: 2021-12-03

Details: Declared Rate: SGD 0.0243 per security/unit

Ex Date: 2021-08-03

Amount: $0.005900

Yield: 0.20%

Pay Date: 2021-09-03

Details: Declared Rate: SGD 0.0059 per security/unit

Amount: $0.005500

Yield: 0.18%

Pay Date: 2021-09-03

Details: Rate: SGD 0.0055 Per Security

Ex Date: 2021-05-28

Amount: $0.000000

Yield: -

Pay Date: -

Details: Ratio: 5:100

Amount: $0.022100

Yield: 0.78%

Pay Date: 2021-06-28

Details: Declared Rate: SGD 0.0221 per security/unit

Ex Date: 2021-05-06

Amount: $0.001000

Yield: 0.04%

Pay Date: 2021-06-08

Details: Rate: SGD 0.001 Per Security

Amount: $0.024500

Yield: 0.88%

Pay Date: 2021-06-08

Details: Declared Rate: SGD 0.0245 per security/unit

Amount: $0.007500

Yield: 0.27%

Pay Date: 2021-06-08

Details: Rate: SGD 0.0075 Per Security

Ex Date: 2021-02-05

Amount: $0.027800

Yield: 0.97%

Pay Date: 2021-03-08

Details: Declared Rate: SGD 0.0278 per security/unit

Amount: $0.004900

Yield: 0.17%

Pay Date: 2021-03-08

Details: Rate: SGD 0.0049 Per Security

Amount: $0.000100

Yield: 0.00%

Pay Date: 2021-03-08

Details: Rate: SGD 0.0001 Per Security

2020 — Total Amount: $0.121800 | Total Yield: 4.28%
Ex Date: 2020-11-03

Amount: $0.025200

Yield: 0.82%

Pay Date: 2020-12-01

Details: Declared Rate: SGD 0.0252 per security/unit

Amount: $0.005500

Yield: 0.18%

Pay Date: 2020-12-01

Details: Rate: SGD 0.0055 Per Security

Ex Date: 2020-06-30

Amount: $0.029000

Yield: 0.98%

Pay Date: 2020-07-28

Details: Declared Rate: SGD 0.029 per security/unit

Ex Date: 2020-05-05

Amount: $0.001300

Yield: 0.05%

Pay Date: 2020-06-04

Details: Rate: SGD 0.0013 Per Security

Amount: $0.027200

Yield: 1.06%

Pay Date: 2020-06-04

Details: Declared Rate: SGD 0.0272 per security/unit

Ex Date: 2020-01-29

Amount: $0.002200

Yield: 0.08%

Pay Date: 2020-02-26

Details: Rate: SGD 0.0022 Per Security

Amount: $0.031300

Yield: 1.11%

Pay Date: 2020-02-26

Details: Declared Rate: SGD 0.0313 per security/unit

Amount: $0.000100

Yield: 0.00%

Pay Date: 2020-02-26

Details: Rate: SGD 0.0001 Per Security

2019 — Total Amount: $0.120700 | Total Yield: 5.52%
Ex Date: 2019-09-24

Amount: $0.001000

Yield: 0.04%

Pay Date: 2019-10-21

Details: Rate: SGD 0.001 Per Security

Amount: $0.028300

Yield: 1.15%

Pay Date: 2019-10-21

Details: Declared Rate: SGD 0.0283 per security/unit

Ex Date: 2019-07-30

Amount: $0.029900

Yield: 1.32%

Pay Date: 2019-08-28

Details: Declared Rate: SGD 0.0299 per security/unit

Ex Date: 2019-04-29

Amount: $0.011200

Yield: 0.54%

Pay Date: 2019-06-10

Details: Declared Rate: SGD 0.0112 per security/unit

Amount: $0.001200

Yield: 0.06%

Pay Date: 2019-06-10

Details: Declared Rate: SGD 0.0012 per security/unit

Amount: $0.001300

Yield: 0.06%

Pay Date: 2019-06-10

Details: Declared Rate: SGD 0.0013 per security/unit

Ex Date: 2019-02-18

Amount: $0.001000

Yield: 0.05%

Pay Date: 2019-02-26

Details: Rate: SGD 0.001 Per Security

Amount: $0.016100

Yield: 0.81%

Pay Date: 2019-03-26

Details: Rate: SGD 0.0161 Per Security

Ex Date: 2019-01-29

Amount: $0.001500

Yield: 0.07%

Pay Date: 2019-03-08

Details: Declared Rate: SGD 0.0015 per security/unit

Amount: $0.029000

Yield: 1.42%

Pay Date: 2019-03-08

Details: Declared Rate: SGD 0.029 per security/unit

Amount: $0.000200

Yield: 0.01%

Pay Date: 2019-03-08

Details: Declared Rate: SGD 0.0002 per security/unit

2018 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2018-10-29

Amount: $0.000000

Yield: -

Pay Date: 2018-12-06

Details: 1JUL-30SEP,DRP SGD 0.0014 TAX EXEMPT

Amount: $0.000000

Yield: -

Pay Date: 2018-12-06

Details: 1JUL-30SEP,DRP SGD 0.0001

Amount: $0.000000

Yield: -

Pay Date: 2018-12-06

Details: 1JUL-30SEP,DRP SGD 0.0286 LESS TAX

Ex Date: 2018-07-30

Amount: $0.000000

Yield: -

Pay Date: 2018-08-30

Details: SGD 0.001 TAX EXEMPT

Amount: $0.000000

Yield: -

Pay Date: 2018-08-30

Details: SGD 0.029 LESS TAX

Ex Date: 2018-04-27

Amount: $0.000000

Yield: -

Pay Date: 2018-05-30

Details: 010118-310318 SGD 0.0011 TAX EXEMPT

Amount: $0.000000

Yield: -

Pay Date: 2018-05-30

Details: 010118-310318 SGD 0.0021

Amount: $0.000000

Yield: -

Pay Date: 2018-05-30

Details: 010118-310318 SGD 0.0263 LESS TAX

Ex Date: 2018-01-29

Amount: $0.000000

Yield: -

Pay Date: 2018-02-28

Details: 021117 - 311217 SGD 0.0001

Amount: $0.000000

Yield: -

Pay Date: 2018-02-28

Details: 021117 - 311217 SGD 0.0188 LESS TAX

2017 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2017-10-30

Amount: $0.000000

Yield: -

Pay Date: 2017-11-28

Details: 010717-300917 SGD 0.0002

Amount: $0.000000

Yield: -

Pay Date: 2017-11-28

Details: 010717-300917 SGD 0.0397 LESS TAX

Ex Date: 2017-07-31

Amount: $0.000000

Yield: -

Pay Date: 2017-08-29

Details: 010417-300617 SGD 0.0292 LESS TAX

Ex Date: 2017-04-28

Amount: $0.000000

Yield: -

Pay Date: 2017-05-30

Details: 010117 - 310317 SGD 0.0008

Amount: $0.000000

Yield: -

Pay Date: 2017-05-30

Details: 010117 - 310317 SGD 0.028 LESS TAX

Ex Date: 2017-01-31

Amount: $0.000000

Yield: -

Pay Date: 2017-02-28

Details: 011016-311216 SGD 0.0001

Amount: $0.000000

Yield: -

Pay Date: 2017-02-28

Details: 011016-311216 SGD 0.0282 LESS TAX

2016 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2016-10-31

Amount: $0.000000

Yield: -

Pay Date: 2016-11-28

Details: 010716 - 300916 SGD 0.0001

Amount: $0.000000

Yield: -

Pay Date: 2016-11-28

Details: 010716 - 300916 SGD 0.0282 LESS TAX

Ex Date: 2016-08-01

Amount: $0.000000

Yield: -

Pay Date: 2016-08-29

Details: 010416-300616 SGD 0.0285 LESS TAX

Ex Date: 2016-04-29

Amount: $0.000000

Yield: -

Pay Date: 2016-05-30

Details: 010116 - 310316 SGD 0.0003

Amount: $0.000000

Yield: -

Pay Date: 2016-05-30

Details: 010116 - 310316 SGD 0.0278 LESS TAX

Ex Date: 2016-02-01

Amount: $0.000000

Yield: -

Pay Date: 2016-03-07

Details: 0110-311215 DRP SGD 0.0282 LESS TAX

2015 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2015-10-26

Amount: $0.000000

Yield: -

Pay Date: 2015-12-04

Details: 0107-300915DRP SGD 0.0002

Amount: $0.000000

Yield: -

Pay Date: 2015-12-04

Details: 0107-300915DRP SGD 0.0277 LESS TAX



šŸ“… SGX Earnings Announcements for ME8U


Date of Broadcast Title Financial Year Ended
2025-07-28 20:49 First Quarter Results 2025/06/30
2025-06-27 18:41 Notification of Results Release 2025/06/30
2025-04-30 19:58 Full Yearly Results 2025/03/31
2025-03-28 19:20 Notification of Results Release 2025/03/31
2025-01-22 19:43 Third Quarter Results 2024/12/31
2024-12-20 19:35 Notification of Results Release 2024/12/31
2024-10-29 19:24 Second Quarter and/ or Half Yearly Results 2024/09/30
2024-09-27 18:15 Notification of Results Release 2024/09/30



Mapletree Industrial Trust (ME8U)

Market: SGX | Currency: SGD

Address: 10 Pasir Panjang Road

Mapletree Industrial Trust is a real estate investment trust (?REIT?) listed on the Main Board of Singapore Exchange. Its principal investment strategy is to invest in a diversified portfolio of income-producing real estate used primarily for industrial purposes in Singapore and income producing real estate used primarily as data centres worldwide beyond Singapore, as well as real estate-related assets. As of 30 September 2025, MIT's total assets under management were S$8.5 billion, which comprised 55 properties in North America (including 13 data centres held through the joint venture with Mapletree Investments Pte Ltd), 79 properties in Singapore and two properties Show more




šŸ“ˆ Mapletree Industrial Trust Historical Chart




🧾 Recent Financial Statement Analysis


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šŸ“° Related News & Research


Showing results matched by any of: ME8U, Mapletree Industrial Trust

Mapletree Industrial Trust to Release Q2 and H1 FY2025/2026 Financial Results on 29 October 2025 – Analyst Webcast Details & Investment Risks (No Dividend Details Provided) 1

Mapletree Industrial Trust to Release Q2 and H1 FY2025/2026 Financial Results on 29 October 2025 – Analyst Webcast Details & Investment Risks (No Dividend Details Provided) 1

September 29, 2025

Mapletree Industrial Trust: Upcoming Financial Results Release and Investor Considerations Mapletree Industrial Trust Management Ltd. (ā€œMITā€) has announced the upcoming release of its financial results for the Second Quarter and First Half of Financial Year 2025/2026, ending 30 September 2025.…