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SSE PLC

Net Asset Value Jan 8, 2026

4710_div_2026-01-08_97be568f-cfb0-4e7e-aaf2-14e19c72a86d.html

Net Asset Value

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National Storage Mechanism | Additional information

RNS Number : 2272O

SSE PLC

08 January 2026

SSE PLC

INTERIM DIVIDEND FOR THE YEAR ENDING 31 MARCH 2026

SCRIP ALTERNATIVE

SSE plc was notified on 7 January 2026 that a total of 22,791 shareholders elected to receive the interim dividend for the year ending 31 March 2026 of 21.4 pence per ordinary share in respect of 503,302,413 ordinary shares in the form of Scrip dividend.  This will result in a reduction in interim dividend cash funding of £107,706,716.   

A total of 5,017,205 new ordinary shares, fully paid, will be issued on 30 January 2026, representing an increase of 0.42% on the issued share capital (excluding treasury shares) on the dividend record date of 5 December 2025.  The relevant Scrip Reference Share Price was 2,146 pence per ordinary share.

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