Issuer reg number
11915702
Action type
Dividend Payment
Start date of processing
Mar 17, 2017
End date of processing
Aug 29, 2017
Components
1.
Date of general meeting
Mar 17, 2017
Payments
Security name
Nortal Group aktsia
Payment per unit
2.70936 EUR
Payment date
Apr 12, 2017
Nasdaq CSD Lithuania