Net Asset Value • Sep 3, 2019
Net Asset Value
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National Storage Mechanism | Additional information
Key information relating to the cash dividend to be paid by Belships ASA ("Belships"):
Declared currency: NOK
Last day including right: 25 September 2019
Ex-date: 26 September 2019
Record date: 27 September 2019
Payment date: 2 October 2019
Date of approval: 25 September 2019
For further information, please contact Lars Christian Skarsgård, Belships CEO, phone +47 977 68 061 or email [email protected]
This information is subject of the disclosure requirements pursuant to section 5-12 of the Norwegian Securities Trading Act.
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