- Home
- Equities - Stocks - Shares
- Company Press Releases
- Inside Information: Citycon Decided On a Quarterly Distribution
Inside information: Citycon decided on a quarterly distribution
06 Nov 2024 18:05 CET
Issuer
Citycon Treasury B.V.
CITYCON OYJ Inside information 6 November 2024 at 19:05 hrs
The Board of Directors of Citycon Oyj has today decided, on the basis of the
authorisation by the Annual General Meeting 2024, that an equity repayment of
EUR 0.075 per share will be distributed from the invested unrestricted equity
fund of the company. The equity repayment will be paid to a shareholder
registered in the company's shareholders' register maintained by Euroclear
Finland Ltd on the record date of the repayment 20 December 2024. The equity
repayment will be paid on 31 December 2024.
Following the asset distribution on 31 December 2024, Citycon Oyj has
distributed a total equity repayment of EUR 0.30 per share during the year 2024
and the Board of Directors has fully exercised the asset distribution
authorisation granted by the Annual General Meeting.
CITYCON OYJ
For further information, please contact:
Sakari Järvelä
Chief Financial Officer
Tel. +358 50 387 8180
sakari.jarvela@citycon.com
Citycon is a leading owner, manager and developer of mixed-use real estate
featuring modern, necessity-based retail with residential, office and municipal
service spaces that enhance the communities in which they operate. Citycon is
committed to sustainable property management in the Nordic region with assets
that total approximately EUR 4.0 billion. Our centres are located in urban hubs
in the heart of vibrant communities with direct connections to public transport
and anchored by grocery, healthcare and other services that cater to the
everyday needs of customers.
Citycon has an investment-grade credit rating from Standard & Poor's (BBB-).
Citycon Oyj's shares are listed on Nasdaq Helsinki.
www.citycon.com
More information:
Access the news on Oslo Bors NewsWeb site
Source
Citycon Treasury B.V.
Provider
Oslo Børs Newspoint
Company Name
Citycon Treasury B.V. 15/25 3,90% C, Citycon Treasury B.V 17/25 2,75% C
ISIN
NO0010744139, NO0010805898
Market
Oslo Børs