Platinum Asset Management Ltd (AU:PTM) has released an update.
Platinum Asset Management Limited has updated its previous announcement to provide investors with the New Zealand dollar equivalent of the dividend payment per security. The update relates to a semi-annual dividend for the period ending June 30, 2024, with the record date set for September 6, 2024, and the ex-date on September 5, 2024. This information is crucial for shareholders to understand their dividend earnings in local currency terms.
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