Less Ads, More Data, More Tools Register for FREE

Dividend Declaration

3 Oct 2013 10:05

RNS Number : 6409P
Cathay Financial Hldg Co Ld
03 October 2013
 



Subject: Announcement of the ex-rights record date and the adjustment of company's

allocation-ratio of issuing new shares for capital as stock dividends of year

2013.

Date of events: 2013/10/03

Contents:

1. Date of the resolution by the board of directors or shareholders' meeting or decision by the Company:2013/10/03

2. Type of ex-rights or ex-dividend (please enter: "Ex-rights", "Ex-dividend", or "Ex-rights and dividend"): Ex-rights

3. Type and monetary amount of dividend distribution:

The stock dividend per share is NT$0.677573846.NT$7,465,769,550 stock

dividend will be issued as 746,576,955 new shares(distributing 67.7573846 shares

per 1000 shares).

4. Ex-rights (ex-dividend) trading date:2013/10/31

5. Last date before book closure:2013/11/01

6. Book closure starting date:2013/11/03

7. Book closure ending date:2013/11/08

8. Ex-rights (ex-dividend) record date:2013/11/08

9. Any other matters that need to be specified:

(1) The shareholder meeting has passed the proposal of issuing new shares

for capital as stock dividends from retained earnings.NT$7,465,769,550

stock dividend will be issued as 746,576,955 new shares(distributing 70

shares per 1000 shares).The Chairman is authorized to adjust the allocation

ratio upon the actual outstanding shares of ex-rights record date.Due to the

recapitalization through issuance of 353 million common shares,the

outstanding shares increased to 11,018,385,072 shares.

The allocation ratio of stock-dividend will be changed from NT$0.7 per share

to NT$0.677573846 per share(distributing 67.7573846 shares per 1000 shares).

(2) Due to the last day of booking closure falls on a holiday, every

shareholder who does not complete the registration of transfer should make

sure to complete it before 17:30 pm, Nov. 1st, 2013 (The postmark date shall

apply as the documents delivered by mail).

(3) The closed period of 2nd Unsecured Overseas Convertible Bonds is from

2013/10/14 to 2013/11/08.

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
DIVGCBDGSGGBGXX

Related Shares

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.

Back to RNS