29 September 2022

2022 October Dividend

29 September 2022

Description

  • The main characteristics of the payment agreed are detailed below:
    . Gross dividend per share: euro 0.12
    . Net dividend per share: euro 0.0972 (withholding tax rate of 19%)
    . Last trading date: 6 October 2022
    . Ex-dividend date: 7 October 2022
    . Record date: 10 October 2022
    . Payment date: 11 October 2022, according to the regulations applicable to the depositary entities and using the means that IBERCLEAR makes available to them.