Onsdag 17 Juni | 04:45:50 Europe / Stockholm

Prenumeration

Kalender

Est. tid*
2027-03-30 N/A X-dag kvartalsutdelning PUBLI 0.25
2027-02-11 07:00 Bokslutskommuniké 2026
2026-12-29 N/A X-dag kvartalsutdelning PUBLI 0.25
2026-10-27 07:00 Kvartalsrapport 2026-Q3
2026-09-29 N/A X-dag kvartalsutdelning PUBLI 0.25
2026-07-15 07:00 Kvartalsrapport 2026-Q2
2026-06-29 N/A X-dag kvartalsutdelning PUBLI 0.25
2026-06-26 N/A Extra Bolagsstämma 2026
2026-05-07 - Årsstämma
2026-05-04 - Kvartalsrapport 2026-Q1
2026-04-02 - X-dag kvartalsutdelning PUBLI 0.147216
2026-02-25 - Bokslutskommuniké 2025
2026-01-02 - X-dag kvartalsutdelning PUBLI 0.1369005
2025-10-28 - Kvartalsrapport 2025-Q3
2025-10-01 - X-dag kvartalsutdelning PUBLI 0.094411
2025-07-11 - Kvartalsrapport 2025-Q2
2025-07-01 - X-dag kvartalsutdelning PUBLI 0.094421
2025-05-16 - Årsstämma
2025-05-16 - Kvartalsrapport 2025-Q1
2025-02-13 - Bokslutskommuniké 2024
2024-10-31 - Kvartalsrapport 2024-Q3
2024-09-03 - Extra Bolagsstämma 2024
2024-07-11 - Kvartalsrapport 2024-Q2

Beskrivning

LandSverige
ListaOslo Bors
SektorFastigheter
IndustriFörvaltning
Public Property Invest är ett norskt fastighetsbolag med en långsiktig strategi att äga, driva och utveckla fastigheter i Norge. Bolagets portfölj består huvudsakligen av samhällsnyttiga fastigheter med offentliga hyresgäster, belägna i nyckelstäder i Norge. Byggnaderna rymmer funktioner för samhället såsom polisstationer, domstolar, hälsovård och annan offentlig service. Bolaget grundades år 2021 och har sitt huvudkontor i Oslo.

Intresserad av bolagets nyckeltal?

Analysera bolaget i Börsdata!

Vem äger bolaget?

All ägardata du vill ha finns i Holdings!

2026-06-03 17:50:03
Reference is made to the Notice of Extraordinary General Meeting in PPI Public
Property Invest AB (publ) where the Board of Directors proposes that the
Extraordinary General Meeting resolves on a dividend to the shareholders of
SEK 1.00 per share for the financial year 2025 to be disbursed on four
occasions, each of SEK 0.25 per share.

The key information for the four tranches is included below.

Tranche 1:
Dividend amount: SEK 0.25 per share.
Declared currency: SEK. Dividends payable to shares registered in the Euronext
VPS will be distributed in NOK, with the conversion from SEK to NOK taking
place two business days prior to the payment date to shareholders in VPS.
Date of approval: 26 June 2026.
Last day including right: 26 June 2026.
Ex-date: 29 June 2026.
Record date: 30 June 2026.
Payment date: On or about 3 July 2026 for shares in Euroclear (Nasdaq
Stockholm) and on or about 8 July 2026 for shares in Euronext VPS (Euronext
Oslo Børs).

Tranche 2:
Dividend amount: SEK 0.25 per share.
Declared currency: SEK. Dividends payable to shares registered in the Euronext
VPS will be distributed in NOK, with the conversion from SEK to NOK taking
place two business days prior to the payment date to shareholders in VPS.
Date of approval: 26 June 2026.
Last day including right: 28 September 2026.
Ex-date: 29 September 2026.
Record date: 30 September 2026.
Payment date: On or about 5 October 2026 for shares in Euroclear (Nasdaq
Stockholm) and on or about 8 October 2026 for shares in Euronext VPS (Euronext
Oslo Børs).

Tranche 3:
Dividend amount: SEK 0.25 per share.
Declared currency: SEK. Dividends payable to shares registered in the Euronext
VPS will be distributed in NOK, with the conversion from SEK to NOK taking
place two business days prior to the payment date to shareholders in VPS.
Date of approval: 26 June 2026.
Last day including right: 28 December 2026.
Ex-date: 29 December 2026
Record date: 30 December 2027.
Payment date: On or about 7 January 2027 for shares in Euroclear (Nasdaq
Stockholm) and on or about 12 January 2027 for shares in Euronext VPS
(Euronext Oslo Børs).

Tranche 4:
Dividend amount: SEK 0.25 per share.
Declared currency: SEK. Dividends payable to shares registered in the Euronext
VPS will be distributed in NOK, with the conversion from SEK to NOK taking
place two business days prior to the payment date to shareholders in VPS.
Date of approval: 26 June 2026.
Last day including right: 25 March 2027.
Ex-date: 30 March 2027.
Record date: 31 March 2027.
Payment date: On or about 5 April 2027 for shares in Euroclear (Nasdaq
Stockholm) and on or about 8 April 2027 for shares in Euronext VPS (Euronext
Oslo Børs).

This information is published in accordance with the requirements of the
continuing obligations of companies admitted to trading on Oslo Børs.
ntinuing obligations of companies admitted to trading on Oslo Børs.\