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華潤電力:截至2023年12月31日止年度的末期股息之股息貨幣選擇表格

CHINA RES POWER: Dividend Currency Election Form for the final dividend for the year ended 31 December 2023

Hong Kong Stock Exchange ·  Jun 19 16:30
Summary by Futu AI
華潤電力控股有限公司(「本公司」)於2024年3月20日宣布,將為截至2023年12月31日止年度派發每股0.587港元的末期股息。股東有選擇以人民幣收取股息的權利,匯率為1.0港元兌0.909546人民幣。若股東選擇以人民幣收取,股息將按每股0.533904人民幣派發。股東若希望以港元收取股息則無需填寫股息貨幣選擇表格。本公司已於2024年5月14日向股東發出通函,詳細說明選擇條款。股東須於2024年7月8日下午4時30分前將選擇表格送達本公司股份過戶登記處,否則將默認以港元派發股息。記錄日期為2024年6月12日星期三。
華潤電力控股有限公司(「本公司」)於2024年3月20日宣布,將為截至2023年12月31日止年度派發每股0.587港元的末期股息。股東有選擇以人民幣收取股息的權利,匯率為1.0港元兌0.909546人民幣。若股東選擇以人民幣收取,股息將按每股0.533904人民幣派發。股東若希望以港元收取股息則無需填寫股息貨幣選擇表格。本公司已於2024年5月14日向股東發出通函,詳細說明選擇條款。股東須於2024年7月8日下午4時30分前將選擇表格送達本公司股份過戶登記處,否則將默認以港元派發股息。記錄日期為2024年6月12日星期三。
China Res Power Holdings Limited ('The Company') announced on March 20, 2024 that it will distribute a final dividend of HKD 0.587 per share for the year ending December 31, 2023. Shareholders have the right to receive dividends in RMB, the exchange rate is HKD 1.0 to CNY 0.909546. If shareholders choose to receive dividends in RMB, the dividend will be HKD 0.533904 per share. Shareholders who wish to receive dividends in HKD do not need to fill in the dividend currency selection form. The company has issued a circular to shareholders on May 14, 2024, explaining the terms of the selection. Shareholders must submit the selection form to the company's share registration office before 4:30 PM on July 8, 2024, otherwise dividends will be defaulted to HKD. Record date is June 12, 2024, Wednesday.
China Res Power Holdings Limited ('The Company') announced on March 20, 2024 that it will distribute a final dividend of HKD 0.587 per share for the year ending December 31, 2023. Shareholders have the right to receive dividends in RMB, the exchange rate is HKD 1.0 to CNY 0.909546. If shareholders choose to receive dividends in RMB, the dividend will be HKD 0.533904 per share. Shareholders who wish to receive dividends in HKD do not need to fill in the dividend currency selection form. The company has issued a circular to shareholders on May 14, 2024, explaining the terms of the selection. Shareholders must submit the selection form to the company's share registration office before 4:30 PM on July 8, 2024, otherwise dividends will be defaulted to HKD. Record date is June 12, 2024, Wednesday.

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