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郵儲銀行:海外監管公告 2023年年度權益分派實施公告

PSBC: Overseas regulatory announcement: Implementation announcement of annual equity distribution in 2023.

Hong Kong Stock Exchange ·  Jul 4 18:23
Summary by Futu AI
中國郵政儲蓄銀行股份有限公司(以下簡稱「郵儲銀行」)於2024年7月4日宣布,根據2023年年度股東大會於2024年6月28日通過的利潤分配方案,將對股東進行年度權益分派。該分派方案以郵儲銀行方案實施前的普通股總股本99,161,076,038股為基數,每股派發現金紅利0.2610元人民幣(含稅),總計派發現金紅利25,881,040,845.92元人民幣。股權登記日定於2024年7月10日,除權(息)日及現金紅利發放日均為2024年7月11日。郵儲銀行將通過中國結算上海分公司的資金清算系統向股東派發現金紅利,並提供了詳細的稅收扣除說明。郵儲銀行特此公告,並確保公告內容的真實性、準確性和完整性。
中國郵政儲蓄銀行股份有限公司(以下簡稱「郵儲銀行」)於2024年7月4日宣布,根據2023年年度股東大會於2024年6月28日通過的利潤分配方案,將對股東進行年度權益分派。該分派方案以郵儲銀行方案實施前的普通股總股本99,161,076,038股為基數,每股派發現金紅利0.2610元人民幣(含稅),總計派發現金紅利25,881,040,845.92元人民幣。股權登記日定於2024年7月10日,除權(息)日及現金紅利發放日均為2024年7月11日。郵儲銀行將通過中國結算上海分公司的資金清算系統向股東派發現金紅利,並提供了詳細的稅收扣除說明。郵儲銀行特此公告,並確保公告內容的真實性、準確性和完整性。
On July 4th, 2024, Postal Savings Bank of China (hereinafter referred to as 'PSBC') announced that according to the profit distribution plan passed at the annual shareholders' meeting in 2023 on June 28, 2024, it will distribute annual equity to shareholders. The distribution plan is based on the total share capital of 99,161,076,038 ordinary shares before the implementation of the PSBC plan. A cash dividend of RMB 0.2610 (including tax) per share will be distributed, totaling RMB 25,881,040,845.92 in cash dividends. The registration day of the equity is scheduled for July 10th, 2024, and the ex-dividend (interest) day and cash dividend payment day are both on July 11th, 2024. PSBC will distribute cash dividends to shareholders through the fund clearing system of China Securities Depository and Clearing Corporation Shanghai Branch and provide detailed tax deduction instructions. PSBC hereby announces and ensures the truthfulness, accuracy and completeness of the announcement.
On July 4th, 2024, Postal Savings Bank of China (hereinafter referred to as 'PSBC') announced that according to the profit distribution plan passed at the annual shareholders' meeting in 2023 on June 28, 2024, it will distribute annual equity to shareholders. The distribution plan is based on the total share capital of 99,161,076,038 ordinary shares before the implementation of the PSBC plan. A cash dividend of RMB 0.2610 (including tax) per share will be distributed, totaling RMB 25,881,040,845.92 in cash dividends. The registration day of the equity is scheduled for July 10th, 2024, and the ex-dividend (interest) day and cash dividend payment day are both on July 11th, 2024. PSBC will distribute cash dividends to shareholders through the fund clearing system of China Securities Depository and Clearing Corporation Shanghai Branch and provide detailed tax deduction instructions. PSBC hereby announces and ensures the truthfulness, accuracy and completeness of the announcement.

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