Key information relating to the cash dividend to be paid by MPC Container Ships ASA
Reference is made to the declaration of dividends in the quarterly results for Q2 2024 published by MPC Container Ships ASA at 07:00 CET on August 28, 2024. Dividend amount: USD 0.10 per share.Declared currency: USD. The distribution will be made in NOK. Last day including right: September 16, 2024Ex-date: September 17, 2024Record date: September 18, 2024Payment date: September 24, 2024 (on or about)Date of board resolution: August 27, 2024 This information is published in accordance with the requirements of the Continuing Obligations. Contact:ir@mpc-container.com