Key information relating to the cash dividend to be paid by Ocean Yield ASA
Jul 18, 2017
OTC Disclosure & News Service
Oslo, Norway –

Dividend amount: USD 0.1875 per share
Declared currency: USD
Last day including right: 17th July 2017
Ex-date:  18th July 2017
Record date:  19th July 2017
Payment date: 26th July 2017
Date of approval: 13th July 2017

This information is published in accordance with the requirements of the Continuing Obligations.
Copyright © 2017 OTC Markets. All Rights Reserved
The above news release has been provided by the above company via the OTC Disclosure and News Service. Issuers of news releases and not OTC Markets Group Inc. are solely responsible for the accuracy of such news releases.

Related Posts Plugin for WordPress, Blogger...