Qingdao Port International Co., Ltd. declared final ordinary dividend of RMB 256.4 per 1,000 share for the 31 December 2021. Ex-dividend date is on 30 June 2022, Record date is on 12 July 2022 and Payment date is on 26 August 2022. The applicable exchange rate for the purpose of the payment of the final dividend is HKD 1 = RMB0.8535, being the average mid-point rate published by the People's Bank of China on its website for the period of five working days immediately prior to the date of the declaration of dividend.

The final dividend for H shares will be HKD 300.4101 per thousand shares (tax inclusive).