Release Date: July 10, 2026 Statement Date: July 9, 2026 Statement Time: 13:53:56 Company Code: 2482 Company Name: Lian Yu Subject: Announcement of the ex-dividend reference date for the cash dividend distribution resolved by the Board of Directors Applicable Clause: Item 14 Factual Date: July 9, 2026 Details: 1. Date of Board/Shareholders' Meeting Resolution or Company Decision: 07/09/2026 2. Type of Rights/Interest Adjustment (enter 'Rights Adjustment', 'Interest Adjustment', or 'Rights and Interest Adjustment'): Interest Adjustment 3. Type and Amount of Ordinary Share Dividend: Cash dividend of NT$0.1 per share 4. Ex-Dividend Trading Day: 07/29/2026 5. Final Transfer Date: 07/30/2026 6. Start Date of Transfer Suspension: 07/31/2026 7. End Date of Transfer Suspension: 08/04/2026 8. Ex-Dividend Reference Date: 08/04/2026 9. Final Date for Bond Conversion Application: Not applicable 10. Start Date of Bond Conversion Suspension: Not applicable 11. End Date of Bond Conversion Suspension: Not applicable 12. Ordinary Share Cash Dividend Payment Date: 08/25/2026 13. Is part or all of the cash dividend paid in foreign currency? (enter 'Yes' or 'No'): No 14. Currency for Foreign Cash Dividend: Not applicable 15. Recipients of Foreign Cash Dividend: Not applicable 16. Method for Determining Exchange Rate for Foreign Cash Dividend: Not applicable 17. Other Matters to be Disclosed: None
FACT BOX
- Source: PR Times
- Category: News