Core Viewpoint - The company has announced a cash dividend distribution plan for its shareholders, with a specific payout amount and relevant dates for the distribution process [2][3]. Dividend Distribution Plan - The cash dividend per share for A shares is set at RMB 0.2007 (including tax), totaling RMB 1,302.76 million for all shareholders based on a total share capital of 6,491,100,000 shares [2][3]. - The total cash dividend for the year 2024, including the mid-year distribution, amounts to RMB 0.3141 per share (including tax), with a total payout of RMB 2,038.85 million [3]. Relevant Dates - The key dates for the dividend distribution are as follows: - Record date: August 22, 2025 - Last trading day: August 25, 2025 - Ex-dividend date: August 25, 2025 - Cash dividend payment date: August 25, 2025 [3]. Implementation Method - Cash dividends for shareholders will be distributed through the China Securities Depository and Clearing Corporation Limited, Shanghai Branch, based on the registration of shares as of the record date [3][4]. - For A share natural person shareholders and securities investment funds, tax policies will apply based on the holding period of the shares, with specific tax exemptions for longer holding periods [4]. Taxation Details - For individual shareholders holding shares for more than one year, the cash dividend will be RMB 0.2007 per share after tax exemption [4]. - For Qualified Foreign Institutional Investors (QFII), a 10% corporate income tax will be withheld, resulting in a net cash dividend of RMB 0.18063 per share [6]. - For Hong Kong investors through the Stock Connect program, the same 10% tax applies, with the possibility of applying for tax treaty benefits if applicable [6]. Contact Information - For inquiries regarding the dividend distribution, shareholders can contact the Board Office at 0532-82983087 [7].
青岛港: 青岛港国际股份有限公司2024年年度权益分派实施公告