NSOP

Special Dividend

NEGRI SEMBILAN OIL PALMS BERHAD

Entitlement subject Special Dividend
Entitlement description
Special single tier dividend of 4 sen per stock unit for the financial year ending 31 December 2021
Ex-Date 07 Jul 2021
Entitlement date 08 Jul 2021
Entitlement time 5:00 PM
Financial Year End 31 Dec 2021
Period
Share transfer book & register of members will be  to  closed from (both dates inclusive) for the purpose of determining the entitlement
Payment Date 30 Jul 2021
a.Securities transferred into the Depositor's Securities Account before 4:30 pm in respect of transfers 08 Jul 2021
b.Securities deposited into the Depositor's Securities Account before 12:30 pm in respect of securities exempted from mandatory deposit
c. Securities bought on the Exchange on a cum entitlement basis according to the Rules of the Exchange.
Number of new shares/securities issued (units)
(If applicable)
Entitlement indicator Currency
Announced Currency Malaysian Ringgit (MYR)
Disbursed Currency Malaysian Ringgit (MYR)
Entitlement in Currency Malaysian Ringgit (MYR) 0.0400

Par Value (if applicable)
Registrar or Service Provider name, address, telephone no SIN THYE MANAGEMENT SDN BHD
Suite 2B-3A-2, Block 2B, Level 3A
Plaza Sentral, Jalan Stesen Sentral 5

Kuala Lumpur Sentral

50470 Kuala Lumpur

Wilayah Persekutuan

Malaysia

Tel:+60322614633
Fax:+60322614733



Announcement Info

Company Name NEGRI SEMBILAN OIL PALMS BERHAD
Stock Name NSOP
Date Announced 22 Jun 2021
Category Entitlement(Notice of Book Closure)
Reference Number ENT-22062021-00011
Corporate Action ID MY210622DVCA0006


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