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LCTITAN

Final Dividend

Amended Announcements
Please refer to the earlier announcement reference number: ENT-11032019-00001

LOTTE CHEMICAL TITAN HOLDING BERHAD

EX-date 15 May 2019
Entitlement date 16 May 2019
Entitlement time 05:00 PM
Entitlement subject Final Dividend
Entitlement description Final Single Tier Dividend of 17 sen
Period of interest payment   to  
Financial Year End 31 Dec 2018
Share transfer book & register of members will be   to   closed from (both dates inclusive) for the purpose of determining the entitlement
Registrar or Service Provider name, address, telephone no TRICOR INVESTOR & ISSUING HOUSE SERVICES SDN BHD Unit 32-01, Level 32, Tower A, Vertical Business Suite, Avenue 3, Bangsar South, No. 8, Jalan Kerinchi 59200 Kuala Lumpur Tel:0327839299 Fax:0327839222
Payment date 03 Jun 2019
a.Securities transferred into the Depositor's Securities Account before 4:30 pm in respect of transfers 16 May 2019
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
Currency Malaysian Ringgit (MYR)
Entitlement in Currency 0.17
Par Value (if applicable)


Remarks :
The information in this announcement remains unchanged as per our earlier announcement ENT-11032019-00001 dated 12 March 2019 save for the ex-dividend date which has been amended from 14 May 2019 to 15 May 2019 pursuant to the launch of the T+2 trade settlement cycle which takes effect on 29 April 2019.


Announcement Info

Company Name LOTTE CHEMICAL TITAN HOLDING BERHAD
Stock Name LCTITAN
Date Announced 29 Apr 2019
Category Entitlement(Notice of Book Closure)
Reference Number ENT-29042019-00175