Key information relating to the cash dividend to be paid by MPC Container Ships ASA
Oslo, Norway, 26 August 2025 - Reference is made to the declaration of dividends in the quarterly results for Q2 2025 published by MPC Container Ships ASA at 07:00 CET on 26 August 2025.
Dividend amount: USD 0.05 per share.
Declared currency: USD. The distribution will be made in NOK.
Last day including right: 19 September 2025
Ex-date: 22 September 2025
Record date: 23 September 2025
Payment date: 26 September 2025 (on or about)
Date of board resolution: 25 August 2025
This information is published in accordance with the requirements of the Continuing Obligations.