Issuer name
Issuer reg number
10278819
Action type
Dividend Payment
Status
Finished
Start date of processing
Aug 9, 2017
End date of processing
Aug 29, 2017
Action ID
30371

Components

1.
Record date
Jun 21, 2017
Date of general meeting
Jun 28, 2017
Relevant notice
Väljamakse 27.07.2017 (teine väljamakse hiljemalt 31.12.2017)
Payments
Security name
Brenstol osa
Payment per unit
3.19740 EUR
Currency
EUR
Nasdaq CSD Lithuania