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- Key Information Relating To The Cash Distribution To Be Paid By MPC Container Ships ASA
Key information relating to the cash distribution to be paid by MPC Container Ships ASA
31 Jan 2023 10:31 CET
Issuer
MPC Container Ships ASA
The distribution will be made from previously paid-in share premium transferred
from the Company's share premium account.
Distribution amount: USD 0.07 per share. Declared currency: USD. Payment to
shares registered with Euronext VPS will be distributed in NOK.
Last day including right: February 17, 2023
Ex-date: February 20, 2023
Record date: February 21, 2023
Payment date: February 28, 2023 (on or about)
Date of board resolution: January 30, 2023
This information is published in accordance with the requirements of the
Continuing Obligations.
Contact:
ir@mpc-container.com
About MPC Container Ships
MPC Container Ships ASA (ticker code "MPCC") is a leading container tonnage
provider focusing on small to mid-size container ships. Its main activity is to
own and operate a portfolio of container ships serving intra-regional trade
lanes on fixed-rate charters. The Company is registered and has its business
office in Oslo, Norway. For more information, please visit www.mpc
-container.com.
More information:
Access the news on Oslo Bors NewsWeb site
Source
MPC Container Ships ASA
Provider
Oslo Børs Newspoint
Company Name
MPC CONTAINER SHIPS
ISIN
NO0010791353
Symbol
MPCC
Market
Oslo Børs