AS Tallinna Sadam at the AGM held on April 25, 2022, approved to pay dividends to the shareholders €0.097 per share, in the total amount of €25,511,000. The list of shareholders entitled to receive dividends will be established as at May 05, 2022 at the end of the business day of the settlement system. Consequently, the day of change of the rights related to the shares (ex-dividend date) is set to May 04, 2022.

From that day the person acquiring the shares will not have the right to receive dividends for the financial year 2021. Dividends shall be disbursed to the shareholders on May 12, 2022.