REPL::CASH DIVIDEND/

DISTRIBUTION::MANDATORY

Issuer & Securities

Issuer/ Manager

MULTI-CHEM LIMITED

Security

MULTI-CHEM LIMITED - SG1BA2000002 - AWZ

Announcement Details

Announcement Title

Mandatory Cash Dividend/ Distribution

Date &Time of Broadcast

13-Apr-2020 18:05:25

Status

Replacement

Corporate Action Reference

SG200214DVCAYCKT

Submitted By (Co./ Ind. Name)

Rayson Lim

Designation

Chief Financial Officer

Dividend/ Distribution Number

Applicable

Value

31

Dividend/ Distribution Type

Special

Financial Year End

31/12/2019

Declared Dividend/ Distribution Rate (Per Share/ Unit)

SGD 0.022

Event Narrative

Narrative

Narrative Text

Type

Additional

This announcement supersedes the

Text

Notice of Record Date released on 14

February 2020.

Based on the indicative timeline for the

Company to hold its AGM for FY2019,

Additional

the Company wishes to inform

Text

Shareholders that the Record Date and

Dividend Payment Date released on 14

February 2020 has been revised.

Additional

Please refer to the Notice of Record

Text

Date (Revised).

Event Dates

Record Date and Time

09/07/2020 17:00:00

Ex Date

08/07/2020

Dividend Details

Payment Type

Tax Exempted (1-tier)

Gross Rate (Per Share)

SGD 0.022

Net Rate (Per Share)

SGD 0.022

Pay Date

17/07/2020

Gross Rate Status

Actual Rate

Attachments

Multi-

Chem_Notice%20of%20Record%20Date_Revised%

Total size =73K MB

Related Announcements

Related Announcements

14/02/2020 20:23:50

Applicable for REITs/ Business Trusts/ Stapled Securities

Attachments

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Disclaimer

Multi-Chem Limited published this content on 13 April 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 13 April 2020 10:27:11 UTC