POS: Notice of record date for Dividend payment in cash
- Issuer: PTSC Offshore Services Joint Stock Company - Stock code: POS - Par value: VND 10,000/share - Stock type: Common stock - Record date: 31/07/2017 - Ex-date: 28/07/2017 - Reason: Dividend payment of 2016 in cash + Exercise rate: 25% (shareholders receive VND 2,500 for every share they own) + Exercise date: 11/09/2017 + Place of payment: - For deposited shares: securities companies where shares of shareholders have been deposited. - For undeposited shares: Office of PTSC Offshore Services Joint Stock Company, No. 65A, Road 30/4, Thang Nhat, Vung Tau on working days from 11/09/2017. Identification Card (original copy) is required.
HNX
> KTL: Notice of record date for Dividend payment in cash (10/07/2017)
> QCG: The record date for the first cash dividend payment 2016 (10/07/2017)
> NAG: Notice of record date for cash dividend payment (10/07/2017)
> SGR: Result of the share issuance for dividend payment of 2016 (10/07/2017)
> AGX: Notice of record date for Dividend payment and EGM (08/07/2017)
> TNP: Notice of record date for Dividend payment in cash (08/07/2017)
> SEP: Notice of record date for Dividend payment in cash (08/07/2017)