18 Apr 2023 19:14 CEST

Issuer

OCI N.V.

OCI Global (Euronext: OCI), a global producer and distributor of hydrogen products providing fertilizers, fuels, and feedstock to agricultural, transportation, and industrial customers around the world, today confirmed a record date of 21 April 2023 for its semi-annual interim cash distribution for the H2 2022 period, following the expiry of a statutory two-month creditor opposition period without any objections. Shareholders of OCI Global as of close of trading on 21 April 2023 will receive a cash payment of €3.50 per share on 26 April 2023.

Combined with a €3.55 per share cash distribution in October 2022, the total cash return to shareholders with respect to FY 2022 will amount to €7.05 per share, or approximately $1.56 billion.

Timetable for the distribution

 

Date

Ex-dividend date

20 April 2023

Record date

21 April 2023

Payment date

26 April 2023

 

**ENDS**

oci-confirms-timetable-payment-eu350-share-cash-distribution.pdf

Source

OCI

Provider

Euronext

Company Name

OCI N.V.

ISIN

NL0010558797

Symbol

OCI

Market

Euronext