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PAYPOINT PLC

Net Asset Value Jun 6, 2022

4832_rns_2022-06-06_cfb47c56-149f-40ee-a4a2-48c53bf611e7.html

Net Asset Value

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National Storage Mechanism | Additional information

Further to the RNS issued on 26 May 2022 pertaining to the Preliminary Results it was stated the Record Date for the second instalment of the dividend was 2 August 2022.

The correct Record Date for the second instalment is in fact 2 September 2022 (for payment on 30 September 2022).

Enquiries:

PayPoint Plc           

Brian McLelland, Company Secretary              

+44(0)1707 600316 

LEI: 5493004YKWI8U0GDD138

http://corporate.paypoint.com/

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