Weekly Dividend Payout Notice
Dear Valued Clients,
For the week 21 Nov 2022 – 25 Nov 2022, according to the exchange data, 1 share had dividend payout event, below are the payout detail.
|Week 21 Nov 2022 – 25 Nov 2022|
|Share||CFD Share Code||Ex-Date||Dividend per Share||Currency|
|Marriott International Inc.||#MAR||22/11/2022||0.4||USD|
* Dividend will deposit to the trading account when the client holding a long position and will deduct from the trading account if the client holding a short position.
* The dividend will calculate at the end of the trade date before Ex-Date
* German CFD stock product will be counted in USD according to the present market EURUSD exchange rate.
* Hong Kong CFD stock product will be counted in USD according to the present market USDHKD / USDCNH exchange rate.
Please note: Information published above is correct at the time of publication and may be subject to updates and changes without notice.
Thank you for your attention
PP Link Securities