Chinasoft International Limited released an updated dividend announcement on 26 March 2026, confirming the final cash dividend for the year ended 31 December 2025.
Key terms • Dividend amount: HKD 0.0466 per ordinary share. • Shareholders’ approval: 20 May 2026. • Ex-dividend date: 05 June 2026. • Book-close period: 09–12 June 2026. • Record date: 12 June 2026. • Payment date: 29 June 2026. • Currency: Dividend will be paid in Hong Kong dollars at an exchange rate of HKD 1 : HKD 1.
The distribution represents the final dividend for FY 2025 and will be administered by Computershare Hong Kong Investor Services Limited, Hopewell Centre, Hong Kong.