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PAYPOINT PLC

Net Asset Value May 27, 2021

4832_rns_2021-05-27_42e5aa02-e022-4384-9676-c633e61526b9.html

Net Asset Value

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National Storage Mechanism | Additional information

PayPoint plc (the "Company")

Amendment to preliminary results announcement released at 07:00 27 May 2021

Contrary to the preliminary results released to the market this morning, the final dividend of 16.6 pence per share (2020: 15.6 pence per share) payable in equal instalments of 8.3 pence per share (2020: 7.8 pence per share) on 29 July 2021 and 30 September 2021 will be payable to shareholders on the register on 25 June 2021 and 27 August 2021 respectively. The final dividend is subject to the approval of the shareholders at the annual general meeting on 21 July 2021. No additional dividend has been declared (2020: no final additional dividend was declared).

Enquiries:

PayPoint plc           

Sarah Carne, Company Secretary              

+44(0)1707 600300 

LEI: 5493004YKWI8U0GDD138

http://corporate.paypoint.com/

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