VMS: Notice of record date for Dividend payment in cash
1. Issuer: Vietnam Maritime Development JSC 2. Stock code: VMS 3. Par value: VND10,000/share 4. Record date: 08/12/2023 5. Ex-date: 07/12/2023 6. Reason: * Dividend payment in cash 2022: - Exercise rate: 10%/share (Shareholders are entitled to receive VND 1,000 for every share they own) - Exercise date: 22/12/2023 - Place of payment: + For deposited shares: securities companies where shares of shareholders have been deposited. + For undeposited shares: Vietnam Maritime Development JSC on working days from 22/12/2023. Securities certificate and Identification Card (original copy) are required.
HNX
> KHG: Periodic report on bond principal & interest payments (28/11/2023)
> BHN: Notice on cash dividend (28/11/2023)
> WSB: Notice of record date for Dividend payment in cash (28/11/2023)
> DVP: BOD resolution on 2023 cash dividend payment (28/11/2023)
> NTH: Notice of record date for Dividend payment in cash 2023 (28/11/2023)
> VBA122001: Notice on the record date to receive bond interest payment (28/11/2023)
> VBA121033: Notice on the record date to receive bond interest payment (28/11/2023)
> VCS: Notice of record date for Dividend payment in cash (28/11/2023)