JPMorgan Multi-Asset Grwth & Income Dividend Declaration
15 Febbraio 2024 - 5:00PM
RNS Regulatory News
RNS Number : 3195D
JPMorgan Multi-Asset Grwth & Income
15 February 2024
JPMORGAN MULTI-ASSET GROWTH
& INCOME PLC
LONDON STOCK EXCHANGE
ANNOUNCEMENT
DECLARATION OF
DISTRIBUTION
|
Legal Entity Identifier:
549300C0UCY8X2QXW762
|
Information disclosed in accordance
with DTR 6.1.13
15th February
2024
The Directors of JPMorgan Multi-Asset
Growth & Income plc (the "Company") have declared the following
distribution:
Pre-Liquidation Interim
Distribution
A pre-liquidation interim
distribution of 1.2 pence per ordinary share, for the year ending
29th February 2024, will be paid on 22nd
March 2024 to shareholders on the register at the close of business
on 23rd February 2024. The ex-dividend date will be
22nd February 2024.
For this pre-liquidation interim
distribution, the Company has elected to 'stream' part of the
dividend payment and thereby designate 1.09704 pence per share as a
dividend to shareholders and 0.10296 pence per share as an interest
distribution to shareholders.
The Directors have declared this
distribution in order to ensure that the Company's shareholders
receive their four interim distributions in respect of the year
ending 29th February 2024 as expected. This interim
distribution is titled as 'pre-liquidation' because it is being
declared in anticipation of the passing of the required shareholder
resolutions to combine the Company with JPMorgan Global Growth
& Income plc by way of a proposed scheme of reconstruction and
members' voluntary winding up of the Company under section 110 of
the Insolvency Act 1986 (the "Scheme") as referred to in the
Company's RNS announcement of 24th January 2024. The
circular and notices of meeting in relation to the Scheme will be
sent to shareholders shortly.
The payment of the above distribution
is conditional on the passing of the special resolution to be
proposed at the first General Meeting relating to approval of the
Scheme, which is expected to be held before the payment date in
March 2024. It is not anticipated that there
will be any further distributions paid by the Company in relation
to the Company's current financial period or for the period up to
the voluntary liquidation of the Company.
For further information: JPMorgan
Funds Limited - Secretary
Telephone: 0800 20 40 20
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