BTB REIT Announces its Distribution for the Month of October 2024

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MONTRéAL, Oct. 15, 2024 /CNW/ - BTB Real Estate Investment Trust (TSX: BTB.UN) ("BTB" or the "REIT") announced today that the monthly cash distribution for the month of October 2024 is $0.025 per unit, representing $0.30 per unit on an annualized basis. The cash distribution will be paid on November 15th, 2024, to unitholders of record on October 31st, 2024.

Details Distributions 10.2024 (CNW Group/BTB Real Estate Investment Trust)
Details Distributions 10.2024 (CNW Group/BTB Real Estate Investment Trust)

About BTB

BTB is a real estate investment trust listed on the Toronto Stock Exchange. BTB REIT invests in industrial, suburban office and necessity-based retail properties across Canada for the benefit of their investors. As of today, BTB owns and manages 75 properties, representing a total leasable area of approximately 6.1 million square feet.

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BTB offers a distribution reinvestment plan to unitholders whereby the participants may elect to have their monthly cash distribution reinvested in additional units of BTB at a price based on the weighted average price for BTB's Units on the Toronto Stock Exchange for the five trading days immediately preceding the distribution date, discounted by 3%.

For more detailed information, visit BTB's website at www.btbreit.com.

Distributions 10.2024 (CNW Group/BTB Real Estate Investment Trust)
Distributions 10.2024 (CNW Group/BTB Real Estate Investment Trust)
BTB Logo (CNW Group/BTB Real Estate Investment Trust)
BTB Logo (CNW Group/BTB Real Estate Investment Trust)

SOURCE BTB Real Estate Investment Trust

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