Dundee International REIT pays a monthly distribution to Unitholders of record on any month end on or about the fifteenth day of the following month. Dundee International REIT is committed to providing Unitholders with stable and sustainable monthly distributions.
| Distribution Period | Record Date | Payable Date | Distribution | Distribution Reinvestment Price |
|---|---|---|---|---|
| January 1 - 31, 2013 | 31-Jan-13 | 15-Feb-13 | $ 0.06667 | $ 11.07 |
| February 1 - 28, 2013 | 28-Feb-13 | 15-Mar-13 | $ 0.06667 | $ 10.82 |
| March 1 - 31, 2013 | 28-Mar-13 | 15-Apr-13 | $ 0.06667 | $ 10.71 |
| April 1 - 30, 2013 | 30-Apr-13 | 15-May-13 | $ 0.06667 | $ 10.94 |
| May 1 - 31, 2013 | 31-May-13 | 15-Jun-13 | $ 0.06667 |