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Glencore PLC Regulatory Filings 2014

Jan 30, 2014

6185_rns_2014-01-30_5aa9de50-5a73-4472-8fd9-456bedc7a86d.html

Regulatory Filings

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RNS Number : 7760Y

Glencore Xstrata PLC

30 January 2014

Baar, Switzerland                                                                                          30 January 2014

2014 DISTRIBUTION TIMETABLE

Glencore Xstrata plc announces the timetables of its distribution (dividend) events for 2014.

2013 FINAL DISTRIBUTION TIMETABLE

Distribution event Date (all 2014)
Announcement of recommended 2013 Final Distribution Tuesday 4 March
Applicable exchange rate reference date (Johannesburg Stock Exchange (JSE)) Friday 2 May
Last time to trade on JSE to be recorded in the register on record date Close of business (SA) Friday 9 May
Last day to effect removal of shares cum div between Jersey and JSE registers Friday 9 May
Final Ex-Div date (JSE) Monday 12 May
Final Ex-Div Date (Jersey and Hong Kong) Wednesday 14 May
Last time for lodging transfers in Hong Kong 4.30pm Thursday 15 May (HK time)
Final Distribution Record Date in Hong Kong Opening of business (HK) Friday 16 May
Final Distribution Record Date for JSE Close of business (SA) Friday 16 May
Final Distribution Record Date in Jersey Close of business (UK) Friday 16 May
Deadline for return of currency election form (Shareholders on the Jersey register only) Monday 19 May
Removal of shares between the Jersey and JSE registers permissible from Monday 19 May
Annual General Meeting - Shareholder vote to approve 2013 Final Distribution Tuesday 20 May
Applicable exchange rate reference date (Jersey and Hong Kong) Wednesday 21 May
Final Distribution payment date Friday 30 May

Dematerialisation and rematerialisation of registered share certificates in South Africa may not be effected during the period from Monday 12 May 2014 to Friday 16 May 2014, both days inclusive.

Distributions will be declared and paid in U.S. dollars, although Shareholders on the Jersey register will be able to elect to receive their distribution payments in Pounds Sterling, Euros or Swiss Francs. Shareholders on the Hong Kong branch register will receive their distributions in Hong Kong dollars. Shareholders on the Johannesburg register will receive their distributions in South African Rand.

2014 INTERIM DISTRIBUTION TIMETABLE

Distribution event Date (all 2014)
Announcement of 2014 Interim Distribution Wednesday 20 August
Applicable exchange rate reference date (JSE) Friday 22 August
Last time to trade on JSE to be recorded in the register on record date Close of business (SA) Friday 29 August
Last day to effect removal of shares cum div between Jersey and JSE registers Friday 29 August
Interim Ex-Div date (JSE) Monday 1 September
Interim Ex-Div Date (Jersey and Hong Kong) Wednesday 3 September
Last time for lodging transfers in Hong Kong 4.30pm Thursday 4 September (HK time)
Interim Distribution Record Date in Hong Kong Opening of business (HK) Friday 5 September
Interim Distribution Record Date for JSE Close of business (SA) Friday 5 September
Interim Distribution Record Date in Jersey Close of business (UK) Friday 5 September
Deadline for return of currency election form (Shareholders on Jersey Register only) Monday 8 September
Removal of shares between the Jersey and JSE registers permissible from Monday 8 September
Applicable exchange rate reference date (Jersey and Hong Kong) Wednesday 10 September
Interim Distribution payment date Friday 19 September

Dematerialisation and rematerialisation of registered share certificates in South Africa may not be effected during the period from Monday 1 September 2014 to Friday 5 September 2014, both days inclusive.

Distributions will be declared and paid in U.S. dollars, although Shareholders on the Jersey register will be able to elect to receive their distribution payments in Pounds Sterling, Euros or Swiss Francs. Shareholders on the Hong Kong branch register will receive their distributions in Hong Kong dollars. Shareholders on the Johannesburg register will receive their distributions in South African Rand.

Distribution enquiries: 

John Burton Nicola Barrett
t: +41 (0) 41 709 2619 t: +41 (0) 41 709 2755
m: +41 (0) 79 944 5434 m: +41 (0) 79 735 3916
e: [email protected] e: [email protected]

Investor enquiries:

Paul Smith Martin Fewings Elisa Morniroli
t: +41 (0) 41 709 2487 t: +41 (0) 41 709 2880 t: +41 (0) 41 709 2818
m: +41 (0) 79 947 1348 m: +41 (0) 79 737 5642 m: +41 (0) 79 833 0508
e: [email protected] e: [email protected] e: [email protected]

Media enquiries:

Charles Watenphul
t: +41 (0) 41 709 2462
m: +41 (0) 79 904 3320
e:[email protected]

About Glencore Xstrata

Glencore Xstrata is one of the world's largest global diversified natural resource companies. As a leading integrated producer and marketer of commodities with a well-balanced portfolio of diverse industrial assets, we are strongly positioned to capture value at every stage of the supply chain, from sourcing materials deep underground to delivering products to an international customer base.

The Group's industrial and marketing activities are supported by a global network of more than 90 offices located in over 50 countries. Our diversified operations comprise over 150 mining and metallurgical sites, offshore oil production assets, farms and agricultural facilities. We employ approximately 190,000 people, including contractors.

This information is provided by RNS

The company news service from the London Stock Exchange

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