Kiwi Property/Announcement
Kiwi Property logo

Kiwi Property FY26 first quarter dividend payment

Dividend20 August 2025KPGReal Estate

Kiwi Property advises that it will pay a first quarter dividend of 1.40 cents per share. The
dividend will have imputation credits of 0.338063 cents per share and a supplementary

dividend of 0.153407 cents per share will be paid to non-resident shareholders.


The record date for the dividend is 5 September 2025, and the payment date is 19

September 2025.


Kiwi Property will continue to operate its Dividend Reinvestment Plan (DRP) for the first

quarter dividend of the 2026 financial year. Pricing will be determined by the volume

weighted average share price for the five trading days to 10 September 2025 and subject to

a 2% discount.



ENDS


For further information:

Steve Penney

Chief Financial Officer

steve.penney@kp.co.nz

Fraser Gunn

Head of Corporate Finance and Investor Relations

fraser.gunn@kp.co.nz

+64 21 973 534


About us:

Kiwi Property (NZX: KPG) is one of the largest listed property companies on the New

Zealand Stock Exchange and is a member of the S&P/NZX 20 Index. We have been

around for over 30 years and proudly own and manage a significant real estate portfolio

comprising some of New Zealand’s best mixed-use, retail and office buildings. Our

objective is to provide investors with a reliable investment in New Zealand property

through the ownership and active management of a diversified, high-quality portfolio.

Kiwi Property is licensed under the Real Estate Agents Act 2008. To find out more, visit our

website, kp.co.nz


NZX RELEASE

21 August 2025


Kiwi Property FY26 first quarter dividend payment

---

Distribution notice


Section 1: Issuer information

Name of issuer Kiwi Property Group Limited

Financial product name/description Ordinary Shares

NZX ticker code KPG

ISIN NZKPGE0001S9

Type of distribution Full Year Quarterly X

Half Year Special

DRP applies X

Record date 5 September 2025

Ex-Date 4 September 2025

Payment date (and allotment date for

DRP)

19 September 2025

Total monies associated with the

distribution

$22,922,828

Source of distribution (for example,

retained earnings)

Retained earnings

Currency NZD

Section 2: Distribution amounts per financial product

Gross distribution $0.01738063

Total cash distribution $0.01400000

Excluded amount (applicable to listed

PIEs)

$0.00530695

Supplementary distribution amount $0.00153407

Section 3: Imputation credits and Resident Withholding Tax

Is the distribution imputed Partial imputation

If fully or partially imputed, please state

imputation rate as % applied

28% on the imputed component

Imputation tax credits per financial

product

$0.00338063

Resident Withholding Tax per financial

product

N/A

Section 4: Distribution re-investment plan (if applicable)

DRP % discount (if any) 2%

Start date and end date for determining

market price for DRP

4 September 2025 10 September 2025

Date strike price to be announced (if not

available at this time)

11 September 2025






Specify source of financial products to

be issued under DRP programme

New Issue

DRP strike price per financial product

TBC

Last date to submit a participation

notice for this distribution in accordance

with DRP participation terms

8 September 2025

Section 5: Authority for this announcement

Name of person authorised to make this

announcement

Steve Penney

Contact person for this announcement Steve Penney

Contact phone number +64 9 359 4025

Contact email address steve.penney@kp.co.nz

Date of release through MAP

21 August 2025

Data sourced from publicly available filings. Our datasets may not be complete. Automated analysis can produce errors. If you believe any data on this page is incorrect, please contact us at hello@nzxplorer.co.nz. For informational purposes only. Not investment advice.

Other issuers discussed similar conditions around this time

Matched by meaning across NZX announcement text, not keywords — based on our semantic index of announcement bodies.

  • SPG — Stride Property Limited: FY26 First Quarter Dividends
    2025-08-29

    • • --- Template Distribution Notice Updated as at June 2023 Please note: all cash amounts in this form should be provided to 8 decimal places, including zeros (ie 0.01001000) Please do not amend or delete individual rows. As this template relates t…”

  • IPL — Investore Property Limited: FY26 First Quarter Dividend
    2025-08-19

    19 August 2025 • --- Template Distribution Notice Updated as at June 2023 Please note: all cash amounts in this form should be provided to 8 decimal places, including zeros (ie 0.01001000) Please do not amend or delete individual rows. As this templat…”

  • PFI — Property for Industry Limited: PFI Announces Annual Results
    2025-08-24

    twelve-month period from 1 July 2023 to 30 June 2024, which comprises the periods H2 2023 and FP24, unless otherwise noted. Authority for this announcement Name of person authorised to make this announcement Craig Peirce Contact person for this announcement Craig Pei…”