Scentre Group (ASX: SCG) today announced an estimated distribution of 7.00 cents per security for the second half of 2020.
Scentre Group will release its results for the year ended 31 December 2020 on 24 February 2021. Ahead of the results the Group is providing the following cashflow information. This is a preliminary estimate and remains subject to external audit review and Board approval.
For the 12 months ended 31 December 2020, the Group expects to report cash receipts of approximately $2,357 million and net operating cashflow (after interest, overheads and tax) of approximately $771 million.