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OSMANLI YATIRIM MENKUL DEĞERLER A.Ş.

Notice of Dividend Amount Oct 23, 2023

9094_rns_2023-10-23_ec044b35-c82f-4cb8-b77f-dc01cc461562.html

Notice of Dividend Amount

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Summary Info KAR PAYI AVANSI
Update Notification Flag No
Correction Notification Flag Yes
Postponed Notification Flag No
Reason of Correction A Grubu'na ilişkin oran ve tutarlar güncellenmiştir.
Board Decision Date 18.10.2023
Date of General Assembly Related To Advance Dividend Payment 26.04.2023
Related Interim Period 01.01.2023 / 30.09.2023
Ex-Dividend Date 31.01.2024
Payment Date 02.02.2024
Record Date 01.02.2024
Currency Unit TRY
Share Group Info Advance Dividend To Be Paid For Share With Par Value Of 1 TL - Gross (TL) Advance Dividend To Be Paid For Share With Par Value Of 1 TL - Gross (%) Withholding Rate (%) Advance Dividend To Be Paid For Share With Par Value Of 1 TL - Net (TL) Advance Dividend To Be Paid For Share With Par Value Of 1 TL - Net (%)
A Grubu, İşlem Görmüyor, TREOSMK00030 1,1101768 111,01768 10 0,9991591 99,91591
B Grubu, OSMEN, TREOSMK00022 1,1101768 111,01768 10 0,9991591 99,91591

ADVANCE DIVIDEND DISTRIBUTION TABLE

OSMANLI YATIRIM MENKUL DEĞERLER A.Ş. 01.01.2023 / 30.09.2023 Period Advanced Dividend Distribution Table (TL)

1.Current Period Profit 676.431.033
2.Taxes Payable (-) 88.707.805
3.Net Current Period Profit 587.723.228
4.Losses in Previous Years (-) 0
5.Primary Legal Reserve (-) 0
6.NET DISTRIBUTABLE CURRENT PERIOD PROFIT 587.723.228
7.Reserve As To Articles of Association (-) 0
8.Reserve for Privileged Shares (-) 0
9.AMOUNT CONSTITUTE THE BASIS OF ADVANCE DIVIDEND DISTRIBUTION 587.723.228
10.Amount of Advance Dividend 23.250.000
11.Amount of Advance Dividend Payment on Previous Interim Periods (-) 0
12.Primary Legal Reserve 0
13.NET CURRENT PERIOD PROFIT AFTER ADVANCE DIVIDEND PAYMENT 564.473.228

Additional Explanations

Yönetim Kurulu'nun, 26.04.2023 tarihinde yapılan 2022 yılı Olağan Genel Kurul'unda verilen yetkiye dayanarak 01.01.2023-30.09.2023 tarihli ara dönem finansal tablolara göre oluşan net dönem karından TTK'ya ve esas sözleşmeye göre ayrılması gereken yedek akçeler düşüldükten sonra kalan tutardan 23.250.000 TL'sının 20.942.609 TL sermayeyi temsil eden hisse senedi sahiplerine dağıtılmak üzere 31.01.2024 tarihinden itibaren hisse başına brüt % 111.01768 net % 99.91591 oranında Kar Payı Avansı dağıtılmasına, katılanlarm oy birliği ile karar verilmiştir.

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