-
Dividend amount:
USD 0.0570 per share - Declared currency: USD
-
Last day including right: 14th
July 2021 -
Ex-date: 15th
July 2021 -
Record date: 16th
July 2021 -
Payment date: 26th
July 2021 -
Date of approval: 12th
July 2021
This information is published in accordance with the requirements of the Continuing Obligations.
https://news.cision.com/ocean-yield/r/key-information-relating-to-the-cash-dividend-to-be-paid-by-ocean-yield-asa,c3383839
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