NOTICE is hereby given that on the 29th of May 2019, the Board of Directors declared a final dividend (number 24) of 1.71 RTGS cents per share payable out of the profits of the Group for the financial year ended 31 March 2019.
The dividend will be payable on or about the 18th of June 2019 to shareholders in the Group’s register at the close of business on the 14th of June 2019. Disbursements to foreign shareholders are subject to Exchange Control Approval and payment guidelines for foreign payments. The dividend will be paid by direct transfer or other approved forms as per the following timetable.
ACTION | DATE |
Announcement Date | 29 May 2019 |
Last Date to Trade Cum-Dividend | 11 June 2019 |
Ex-Dividend Date | 12 June 2019 |
Record Date | 14 June 2019 |
Payment Date | 18 June 2019 |
Shareholders are encouraged to update their payment details through our offices or our Transfer Secretaries, Corpserve, 2nd Floor, ZB Centre, Kwame Nkrumah Avenue, P.O Box 2208, Harare, Zimbabwe.
BY ORDER OF THE BOARD
M. Munyuru (Mrs.)
Group Secretary