CITYCON OYJ Inside information 2 June 2023 at 18:00 hrs
The Board of Directors of Citycon Oyj has decided to change the payment date and record date for the quarterly distribution in June. The original dates were published in a stock exchange release on 4 May 2023. The new record date is 16 June 2023 (previously 23 June 2023), and the new payment date is 26 June 2023 (previously 30 June 2023). The amount of the equity repayment remains unchanged (EUR 0.125 per share).
Following the asset distribution on 26 June 2023, Citycon Oyj has distributed a total equity repayment of EUR 0.25 per share during the year 2023 and the remaining authorisation of Citycon’s Board of Directors is EUR 0.25 per share.
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Citycon is a leading owner, manager and developer of mixed-use real estate featuring modern, necessity-based retail with residential, office and municipal service spaces that enhance the communities in which they operate. Citycon is committed to sustainable property management in the Nordic region with assets that total approximately EUR 4.2 billion. Our centres are located in urban hubs in the heart of vibrant communities with direct connections to public transport and anchored by grocery, healthcare and other services that cater to the everyday needs of customers.
Citycon has investment-grade credit ratings from Moody's (Baa3) and Standard & Poor's (BBB-). Citycon’s shares are listed on Nasdaq Helsinki Ltd.