Golden Ocean Group Limited (KT31.F) September 2022 Dividend

€6.79
+€0.13+1.88% Monday 00:00
Dividend Yield
8.15%
Dividend amount
€0.55
€0.61
Per Share

Announced

Confirmed • August 25, 22

Ex Date

Reached • September 06, 22

Pay Date

Paid • September 14, 22

Description

Golden Ocean Group Limited (KT31.F) has announced a dividend of €0.61 with an ex date of September 06, 2022 and a payment date of September 14, 2022. The record date is September 07, 2022.

Community

0 Comments

Share your thoughts