Not logged in
  Home   Markets   Shares   Funds   Portfolio   Toolbox   Charting   Alerts   Directory   
 Admin   

Wed 2 May 2007, 12:15 LON - Lonmin - Interim Dividend Timetable
LON
 LOLMI                                                                           
LON - Lonmin - Interim Dividend Timetable                                       
Lonmin Plc                                                                      
(Incorporated in England and Wales)                                             
(Registered in the Republic of South Africa under registration number           
1969/000015/10)                                                                 
JSE code: LON                                                                   
Issuer Code: LOLMI & ISIN: GB0031192486                                         
("Lonmin")                                                                      
2 May 2007                                                                      
Lonmin Plc - INTERIM DIVIDEND TIMETABLE                                         
The Board of Lonmin Plc has announced an interim dividend for the year          
ended 30 September 2007 of 55 US cents per share, payable on Friday 3           
August 2007.                                                                    
The dividend timetable is as follows:-                                          
                            UK                      SA                          
USD/rand exchange rate                               Friday 22 June 2007        
Last day to trade cum div    Tuesday 3 July 2007     Friday 29 June 2007        
Last day to trade on the                             Friday 29 June 2007        
JSE                                                                             
Ex div date                  Wednesday 4 July 2007   Monday 2 July 2007         
Record date                  Friday 6 July 2007      Friday 6 July 2007         
USD/sterling exchange rate   Friday 13 July 2007                                
Deadline for receipt of new  Friday 20 July 2007     Friday 20 July 2007        
DRIP applications                                                               
Dividend payment date        Friday 3 August 2007    Friday 3 August            
                                                    2007                        
(1)  No transfers between the UK principal register and the SA branch           
register will be permitted from the date on which the USD/rand              
    exchange rate is announced to the record date, both dates inclusive         
    (i.e. last date to transfer Thursday 21 June 2007).                         
(2)  The SA branch register will be closed for the purposes of                  
dematerialisation and rematerialisation from Monday 2 July 2007 to          
    Friday 6 July 2007, both dates inclusive.                                   
(3)  The dividend will be paid:-                                                
    (i)  In rand to shareholders on the SA branch register calculated at        
the US dollar to rand exchange rate on Friday 22 June 2007;            
    (ii) In sterling to shareholders domiciled in the UK (unless they           
         elect to receive US dollar dividends) calculated at the US dollar      
         to sterling exchange rate on Friday 13 July 2007; and                  
(iii)     In US dollars to all other overseas shareholders (unless          
              they elect to receive sterling dividends or have mandated         
              their dividends to a UK bank or participate in TAPS - see         
              below).                                                           
(4)  Elections to receive an alternative currency (US dollars or sterling)      
    should comprise a signed request to Lloyds TSB Registrars to be             
    received by 17:00 hours on Friday 6 July 2007.                              
(5)  Transcontinental Automated Payment System (TAPS)                           
TAPS permits shareholders resident in certain countries to receive dividend     
payments to their local bank and in their local currency.  All eligible         
shareholders have been, or will be, sent information relating to TAPS by        
Lloyds TSB Registrars.                                                          
Enquiries:                                                                      
Alex Shorland-Bell                 +44 (0) 20 7201 6060                         
Lonmin Plc                                                                      
Vice-President, Investor Relations & Communications                             
Lloyds TSB Registrars Helpline     0870 600 3970 (UK callers)                   
                                  +44 121 415 7047 (international callers)      
Date: 02/05/2007 12:15:06 Produced by the JSE SENS Department.
Profile Group (Pty) Ltd. has taken care in preparing all information on this website, but does not accept any liability for errors or out-of-date information.
Other Profile Group sites: FundsData Online (unit trust data)  |  Profile Group corporate site
[  Terms of Use |  Privacy Policy |  PAIA manual |  FAQs/Help |  Site Map |  © Copyright Reserved 2026  ]
  


Powered by ProfileData

Profile Mobile App Google Play Store Apple App Store


Follow us on: