Ascendas REIT - Annual Report 2021
Glossary IIRC International Integrated Reporting Council Interbank GIRO General Interbank Recurring Order IP Investment Properties IPO Initial Public Offering IPT Interested Person Transaction IR Integrated Reporting IRAS Inland Revenue Authority of Singapore ISDA International Swaps and Derivatives Association IT Information Technology JPY Japanese Yen JTC JTC Corporation M & C Maintenance and Conservancy Manager Ascendas Funds Management (S) Limited, as the Manager of Ascendas Reit MAS Monetary Authority of Singapore MNCs Multinational corporations MTN MWh Medium Term Note Megawatt hour NAV Net Asset Value NLA/Net Lettable Area Consists of the total gross floor area less the common areas, such as corridors, amenities’ area and management offices NRC Nominating and Remuneration Committee NPI Net Property Income Property Funds Appendix Appendix 6 of the CIS Code issued by the MAS in relation to REITs PUP Performance Unit Plan R&D Research and development RAP Statement of Recommended Accounting Practice REIT Real Estate Investment Trust REITAS REIT Association of Singapore RUP Restricted Unit Plan SGX-ST Singapore Exchange Securities Trading Ltd SGX-ST Listing Rules SMP The Listing Manual of SGX-ST Sustainability Master Plan SSAs Singapore Standards on Auditing SSEA Singapore and South East Asia SOR Swap Offer Rate SRS Supplementary Retirement Scheme Sq m Square metres Trust Deed The Second Amending and Restating Trust Deed dated 10 August 2017 made between the Trustee and the Manager constituting Ascendas Reit Trustee HSBC Institutional Trust Services (Singapore) Limited, as trustee of Ascendas Reit SGD Singapore dollar Unit(s) An undivided interest in Ascendas Reit as provided for in the Trust Deed Unitholder(s) The Depositor whose securities account with CDP is credited with Unit(s) UK United Kingdom US United States USD United States Dollars WALE Weighted Average Lease to Expiry Ascendas Reit 264
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