Thursday, 01/08/2024 13:28

PJS: Notice of record date for Dividend payment in cash

1. Issuer: Phu Hoa Tan Water Supply Joint Stock Company
2. Stock code: PJS
3. Par value: VND10,000/share
4. Record date: 08/08/2024
5. Ex-date: 07/08/2024
6. Reason:
     * Dividend payment in cash 2023:
          - Exercise rate: 8% (shareholders receive VND800 for every share they own)
          - Exercise date: 28/08/2024
          - Place of payment:
               + For deposited shares: securities companies where shares of shareholders have been deposited.
               + For undeposited shares: Accounting and Finance Department of Phu Hoa Tan Water Supply Joint Stock Company (Address: No.6 Tan Hung street, Ward 12, District 5, HCM City) on working days from 28/08/2024. 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

Other News

>   IN4: Notice of record date for Dividend payment in cash (01/08/2024)

>   IN4: Notice of record date for Dividend payment in cash (01/08/2024)

>   CCR: Notice on dividend payment 2023 (01/08/2024)

>   VHM121025: Report on principal and interest payment of VHM121025 bonds (01/08/2024)

>   VHM121025: Notice on record date for bond interest payment (11th term) (01/08/2024)

>   VHM121024: Report on principal and interest payment of VHM121024 bonds (01/08/2024)

>   SHI: Payment guarantee for Son Ha DRE JSC (31/07/2024)

>   SC5: Plan for 2023 cash dividend payment (31/07/2024)

>   CMV: Notice of the record date for the 2023 dividend payment (31/07/2024)

>   LPB123016: Report on principal and interest payments (31/07/2024)

Online Services
iDragon
Place Order

Là giải pháp giao dịch chứng khoán với nhiều tính năng ưu việt và tinh xảo trên nền công nghệ kỹ thuật cao; giao diện thân thiện, dễ sử dụng trên các thiết bị có kết nối Internet...
User manual
Updated version