Issuer reg number
                            10391131
                         
                        
                            Action type
                            Dividend Payment
                         
                        
                        
                            Start date of processing
                            Jan 30, 2017
                         
                        
                            End date of processing
                            Jan 30, 2017
                         
                        
                                             
                
                        
                        Components
                        
                            
                            
                                                                
                                    
    
    Payments    
    
    
        Security name
        NORTAL AKTSIA
     
    
        Payment per unit
        0.71416 EUR
     
    
    
        Payment date
        Jan 26, 2017
     
                                      
                                                            
                                                 
                                 
         
         
    
 
	
		
		 Nasdaq verðbréfamiðstöð