Volta Finance Limited (VTA) - Dividend Declaration
NOT FOR RELEASE, DISTRIBUTION OR PUBLICATION, IN WHOLE OR IN PART, IN OR INTO THE UNITED STATES
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Guernsey, 25 August 2017
Volta Finance Limited (the "Company") announces that it has declared a quarterly dividend of €0.15 per share payable in September 2017, amounting to €5.5 million. The ex-dividend date is 7 September 2017, with a record date of 8 September 2017 and a payment date of 28 September 2017.
The Company has arranged for its shareholders to be able to elect to receive their dividends in either Euros or Pounds Sterling. Shareholders will, by default, receive their dividends in Euros, unless they have instructed the Company's Registrar, Computershare Investor Services (Guernsey) Limited ("Computershare"), to pay dividends in Pounds Sterling. Such instructions may be given to Computershare either electronically via CREST or by using the Currency Election Form which will be posted to shareholders and a copy of which is also available on the website www.voltafinance.com within the "Investors - Other Documents" section. The deadline for receipt of currency elections is 12:00 (midday) London time on 11 September 2017.
As announced on 12 August 2016, the Company intends to pay dividends on a quarterly basis, which it expects to pay towards the end of each March, June, September and December.
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