Issuer reg number
10099962
Action type
Dividend Payment
Start date of processing
Jun 19, 2017
End date of processing
Jun 19, 2017
Components
1.
Start date of processing
Jun 19, 2017
Date of general meeting
May 24, 2017
Payments
Security name
NORDECON LIHTAKTSIA
Payment per unit
0.04500 EUR
Payment date
Jun 19, 2017