TIDMCCP

RNS Number : 3577E

Celtic PLC

15 July 2016

Celtic Plc

Dividend Timetable

The timetable for the fixed dividend on Celtic plc's Convertible Cumulative Preference Shares of 60p each ("CCP Shares") for the financial year ended 30 June 2016 is as follows:

 
 Ex dividend Date:               28 July 2016 
 Record Date:                    29 July 2016 
 Scrip Scheme - Mandate Return   12 August 2016 
  Date: 
 Payment Date:                   31 August 2016 
 

Holders of CCP Shares are entitled to participate in the Company's scrip dividend reinvestment scheme, subject to the terms and conditions of the scheme. Under the scheme, new Ordinary Shares of 1p each are issued fully paid instead of cash. The closing date for receipt by the Company's registrars of valid scrip scheme mandate forms relating to the 2016 dividend payment is 12 August 2016.

Copies of the mandate form and the terms and conditions of the scheme can be obtained from the Company's registrars, Computershare plc, PO Box 82, The Pavilions, Bridgwater Road, Bristol BS99 6ZZ, by telephoning 0370 702 0192, or by contacting Computershare through their website at www.computershare.co.uk.

Enquiries:

 
 Michael Nicholson, Company 
  Secretary, Celtic plc              0141 551 4298 
 Canaccord Genuity Limited 
  Bruce Garrow, Nominated Adviser    020 7523 8350 
 

This information is provided by RNS

The company news service from the London Stock Exchange

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July 15, 2016 10:02 ET (14:02 GMT)

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