POS: Notice of record date for dividend payment in cash
1. Issuer: PTSC Offshore Services Joint Stock Company 2. Stock code: POS 3. Par value: VND10,000/share 4. Record date: 30/09/2020 5. Ex-date: 29/09/2020 6. Reason: * Dividend payment in cash 2019: - Exercise rate: 7%/share (01 share receives VND 700) - Exercise date: 30/10/2020 - 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, address: 65A, PTSC downstream Bay, 30/4 Street, Thang Nhat ward, Vung Tau city, Ba Ria - Vung Tau province, on working days from 30/10/2020. Securities certificate and Identification Card (original copy) are required. In case of authorization, a proxy with certified seal of the local authority is further requested in addition to the mentioned above.
HNX
> HJS: Notice of record date for Cash dividend payment (15/09/2020)
> DTP: Notice of record date for Extraordinary General Meeting of Shareholders 2020 and cash dividend payment (15/09/2020)
> DNA: Notice of the share issue for dividend payment (15/09/2020)
> PNT: Notice of record date for dividend payment in cash (15/09/2020)
> ABT: ABT to complete the payment of tax penalties (15/09/2020)
> RTB: Decision on approving the payment of the remaining 2% of dividend 2019 (15/09/2020)
> NSC: RECORD DATE FOR CASH DIVIDEND OF 2019 (15/09/2020)
> NLG: Stock issuance to pay dividend & under ESOP (15/09/2020)
> HJS: Adjustment of record date for dividend payment in cash (15/09/2020)