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Wed 6 Aug 2008, 8:05 OML/OLM - Old Mutual Plc - Interim Dividend for the six months ended 30 June
OML
OLOML                                                                           
OML/OLM - Old Mutual Plc - Interim Dividend for the six months ended 30 June    
2008 (No. 18)                                                                   
Old Mutual Plc                                                                  
ISIN CODE: GB0007389926                                                         
JSE SHARE CODE: OML                                                             
NSX SHARE CODE: OLM                                                             
ISSUER CODE: OLOML                                                              
Interim Dividend for the six months ended 30 June 2008                          
(No. 18)                                                                        
The Directors of Old Mutual plc have declared an interim dividend for the six   
months ended 30 June 2008 of 2.45p per share to be paid on Friday, 28 November  
2008.                                                                           
The record date for this dividend payment is the close of business on           
Friday, 7 November 2008 for all the Exchanges where the Company`s shares are    
listed. The last days to trade cum- dividend on the JSE and on the Namibian,    
Zimbabwe and Malawi Stock Exchanges will be Friday, 31 October 2008 and         
Tuesday, 4 November 2008 for the London Stock Exchange. The shares will trade   
ex-dividend from the opening of business on Monday, 3 November 2008 on the JSE  
and on the Namibian, Zimbabwe and Malawi Stock Exchanges and from the opening   
of business on Wednesday, 5 November 2008 on the London Stock Exchange.         
Shareholders on the South African, Zimbabwe and Malawi branch registers and the 
Namibian section of the principal register will be paid the local currency      
equivalents of the dividend under dividend access trust arrangements            
established in each country. Shareholders who hold their shares through VPC AB, 
the Swedish nominee, will be paid the equivalent of the dividend in Swedish     
Kronor (SEK). Local currency equivalents of the dividend, for all five          
territories, will be determined by the Company using exchange rates prevailing  
at close of business on Thursday, 16 October 2008 and will be announced by the  
Company on Friday, 17 October 2008.                                             
Share certificates may not be dematerialised or re-materialised on the South    
African branch register between Monday, 3 November 2008 and Friday, 7 November  
2008, both dates inclusive, and transfers between the registers may not take    
place during that period.                                                       
06 August 2008                                                                  
Date: 06/08/2008 08:05:01 Produced by the JSE SENS Department.                  
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