OCI N.V. (Euronext: OCI) today confirmed a record date of 27 October 2022 for its semi-annual interim cash distribution in the form of a capital repayment for the H1 2022 period, following the expiry of a statutory two-month creditor opposition period without any objections. Shareholders of OCI N.V. as of close of trading on 27 October 2022 will receive a cash payment of €3.55 per share on 31 October 2022.
Combined with a €1.45 / share ($320 million) distribution in June 2022, this brings the total cash return to shareholders to €5.00 per share (c.$1.1 billion) during 2022.
Timetable for the distribution
Date |
|
Ex-date |
26 October 2022 |
Record date |
27 October 2022 |
Payment date |
31 October 2022 |