APA FY25 Final Distribution Information
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| Stock | APA Group (APA.ASX) |
|---|---|
| Release Time | 20 Aug 2025, 7:56 a.m. |
| Price Sensitive | Yes |
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APA FY25 Final Distribution Information
Key Points
- Final distribution for the six months ended 30 June 2025
- Ex Date: 27 June 2025, Record Date: 30 June 2025, Payable Date: 10 September 2025
- Total Distribution Rate: 30 cents per security
Full Summary
APA Group has released the final distribution information for the six months ended 30 June 2025. The key details are as follows: Ex Date: 27 June 2025, Record Date: 30 June 2025, Payable Date: 10 September 2025, and Total Distribution Rate: 30 cents per security. The distribution will be paid from the APA Infrastructure Trust and APA Investment Trust, with the tax components of the distribution outlined in the announcement. There is no foreign conduit income to be declared for this distribution. APA Group is a leading Australian energy infrastructure business, owning and operating a diverse portfolio of gas, electricity, solar, and wind assets across the country.
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