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Issuer/Manager |
AP OIL INTERNATIONAL LIMITED |
Security |
AP OIL INTERNATIONAL LIMITED - SG1K10892752 - 5AU |
Announcement Title |
Mandatory Cash Dividend/ Distribution |
Date & Time of Broadcast |
31-Mar-2020 17:52:02 |
Status |
Replacement |
Corporate Action Reference |
SG200227DVCAQ7M5 |
Submitted By (Co./Ind. Name) |
HO CHEE HON |
Designation |
GROUP CHIEF EXECUTIVE OFFICER |
Dividend/ Distribution Number |
Applicable |
Value |
14 |
Dividend/ Distribution Type |
FINAL |
Financial Year End |
31/12/2019 |
Declared Dividend Rate (Per Share) |
SGD 0.0075 |
Narrative Type |
Narrative Text |
Additional Text |
In light of the grant of waiver to extend the time of holding the AGM, the Board wished to announce the revised dates for the proposed final dividend as follow:
-Payment Date: 27 July 2020
-Books closure Date: 13 July 2020
-Completed Transfers to be received by Share Registrar at 5 pm: 10 July 2020
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Record Date and Time |
10/07/2020 17:00:00 |
Ex Date |
09/07/2020 |
Payment Type |
Tax Exempted (1-tier) |
Gross Rate (Per Share) |
SGD 0.0075 |
Net Rate (Per Share) |
SGD 0.0075 |
Pay Date |
27/07/2020 |
Gross Rate Status |
Actual Rate |
Country of Income |
Singapore |
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