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MPC Container Ships ASA

Notice of Dividend Amount Aug 18, 2022

3666_rns_2022-08-18_0d03457a-d258-4f68-ad85-a8cd94b412fa.html

Notice of Dividend Amount

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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

Oslo, 18 August 2022

The distribution will be made from previously paid in share premium transferred

from the Company's share premium account.

Distribution amount: USD 0.19 per share

Declared currency: USD. Payment to shares registered with Euronext VPS will be

distributed in NOK.

Last day including right: 21 September 2022

Ex-date: 22 September 2022

Record date: 23 September 2022

Payment date: 29 September 2022 (on or about)

Date of board resolution: 17 August 2022

This information is published in accordance with the requirements of the

Continuing Obligations.

For further information, please contact [email protected].

About MPC Container Ships ASA:

MPC Container Ships ASA (ticker code "MPCC") is a leading container tonnage

provider with a focus on small to mid-size containerships. 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 see our website: www.mpc

-container.com.

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