GLOSSARY
Ascendas Funds Management (S) Limited
Ascendas Real Estate Investment Trust
Ascendas Services Pte Ltd
Board of Directors of the Manager
Compounded Annual Growth Rate
Changi Business Park
The Central Depository (Pte) Limited
The Code of Collective Investment Schemes issued by the Monetary Authority of Singapore
Commercial Mortgage Backed Securities
Central Provident Fund
Consumer Price Index
Distributions per unit
Exchangeable Collateralised Securities
Economic Development Board
Earnings per unit
Gross Domestic Product
Gross Floor Area which includes net lettable area and common areas, such as common corridors
General Interbank Recurring Order
Interested Party Transaction
Transactions made between the Trustee (as trustee of A-REIT) and an “interested person”, under the Listing
Manual and the Property Funds Appendix
The Listing Manual of SGX-ST
Ascendas Funds Management (S) Limited, as manager of A-REIT
Monetary Authority of Singapore
Consists of the total gross foor area less the common areas, such as corridors, amenities’ area and
management offces
Appendix 2 of the CIS Code issued by the MAS in relation to REITs
The agreement dated 10 October 02 made between the Manager, the Trustee and the Property Manager
pursuant to which the Property Manager will provide certain property management, lease management,
marketing and project management services to A-REIT and extended by a letter dated 19 November 07
signed by the Trustee, the Manager and the Property Manager
Ascendas Services Pte Ltd
Real Estate Investment Trust
Securities and Futures Act, Chapter 289 of Singapore
Singapore Government Securities
Singapore Exchange Securities Trading Ltd
Swap Offer Rate
Square metres
Singapore-listed REIT
Supplementary Retirement Scheme
Straits Times Index
The Trust Deed dated 9 October 02 made between the Trustee and the Manager constituting A-REIT, as
amended, modifed, re-stated or supplemented, from time to time
HSBC Institutional Trust Services (Singapore) Limited, as trustee of A-REIT
An undivided interest in A-REIT as provided for in the Trust Deed
The Depositor whose securities account with CDP is credited with Units(s)
AFM
A-REIT
ASPL
Board
CAGR
CBP
CDP
CIS
CMBS
CPF
CPI
DPU
ECS
EDB
EPU
GDP
GFA
Interbank GIRO
IPT
Interested Party
Transaction
Listing Manual
Manager
MAS
Net Lettable Area
Property Funds Appendix
Property Management
Agreement
Property Manager
REIT
SFA
SGS
SGX-ST
SOR
Sqm
S-REIT
SRS
STI
Trust Deed
Trustee
Unit(s)
Unitholders(s)
ASCENDAS REAL ESTATE INVESTMENT TRUST
ANNUAL REPORT FY11/12
190