Prudential plc (LON:PRU) has announced its 2022 second interim dividend of 13.04 US cents per ordinary share.
Shareholders holding shares on the UK or Hong Kong share registers will receive their dividend payments in either pounds sterling or Hong Kong dollars respectively, unless they elect otherwise.
Shareholders holding shares on the UK or Hong Kong registers may elect to receive dividend payments in US dollars. Elections must be made through the relevant UK or Hong Kong share registrar on or before 19 April 2023. Further information is available at https://www.prudentialplc.com/investors/shareholder-information/dividend/dividend-currency-election
The corresponding amount per share in pounds sterling and Hong Kong dollars is expected to be announced on or about 27 April 2023. The US dollar to pound sterling and to Hong Kong dollar conversion rates will be determined by the actual rates achieved by Prudential buying those currencies prior to the announcement.
Holders of American Depositary Receipts will receive their dividend payments in US dollars through JPMorgan, the ADR Depositary.
Shareholders holding an interest in Prudential shares through The Central Depository (Pte) Limited in Singapore will receive their dividend payments in Singapore dollars, at an exchange rate determined by CDP.
2022 second interim dividend timetable
Ex-dividend date | 23 March 2023 (Hong Kong, UK and Singapore) |
Record date | 24 March 2023 |
Currency election window closes | 19 April 2023 (Hong Kong and UK) |
Dividend Re-investment Plan election window closes | 19 April 2023 (UK) |
Pound sterling and Hong Kong dollar amount per share announced | On or about 27 April 2023 |
Payment date | 15 May 2023 (Hong Kong, UK and ADR holders) On or about 22 May 2023 (Singapore) |
Prudential provides life and health insurance and asset management in 23 markets across Asia and Africa (at 31 December 2022).