Returning Cash
Dividend
Declaration date – Monday, 18 March 2024
Last day to trade – Tuesday, 16 April 2024
Trading ex-dividend commences – Wednesday, 17 April 2024
Record date – Friday, 19 April 2024
Payment date – Monday, 22 April 2024
2023 – Third dividend declared
10.0 cps
12%
2022 - Second dividend declared
8.9 cps
89%
2021 - Maiden dividend declared
4.7 cps
The Board has adopted a policy of declaring and paying dividends on an annual basis based on excess free-cash flow available considering the capital needs for future growth projects. It is the intention of the Group to adopt a dividend policy of paying out dividends of up to 85% of free cash flow over time.