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Futu Holdings Ltd: Futu Holdings Limited - Cash Distribution Option Symbols: FUTU/2FUTU

Futu Holdings Ltd: Futu Holdings Limited - Cash Distribution Option Symbols: FUTU/2FUTU

富途控股:富途控股有限公司 - 现金分发选项代码:FUTU/2FUTU
OCC期权清算公司 ·  11/27 05:18

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On November 26, 2024, Futu Holdings announced a Special Cash Dividend of $1.95 per American Depositary Share (ADS), with a gross dividend of $2.00 minus a $0.05 depositary fee. The record date is set for December 6, 2024, and the payable date is January 10, 2025. The ex-distribution date is also December 6, 2024.Contract adjustments will be effective from December 6, 2024, with a new multiplier of 100. Strike prices will be reduced by $1.95; for instance, a strike of 17.50 will be adjusted to 15.55. Option symbols remain unchanged. This adjustment affects 100 Futu ADS per contract.Investors are advised to independently verify all information related to this corporate event, as adjustments are subject to change based on new information.
On November 26, 2024, Futu Holdings announced a Special Cash Dividend of $1.95 per American Depositary Share (ADS), with a gross dividend of $2.00 minus a $0.05 depositary fee. The record date is set for December 6, 2024, and the payable date is January 10, 2025. The ex-distribution date is also December 6, 2024.Contract adjustments will be effective from December 6, 2024, with a new multiplier of 100. Strike prices will be reduced by $1.95; for instance, a strike of 17.50 will be adjusted to 15.55. Option symbols remain unchanged. This adjustment affects 100 Futu ADS per contract.Investors are advised to independently verify all information related to this corporate event, as adjustments are subject to change based on new information.
2024年11月26日,富途控股宣布派发每股美国存托股票(ADS)1.95美元的特别现金股息,总股息为2.00美元,减去0.05美元的存托费。记录日期定为2024年12月6日,付款日期为2025年1月10日。除息日也是2024年12月6日。合同调整将从2024年12月6日起生效,新的乘数为100。行使价将降低1.95美元;例如,17.50的行使价将调整为15.55美元。选项符号保持不变。此次调整影响每张合约100张富途ADS。建议投资者独立核实与本次公司活动相关的所有信息,因为调整可能会根据新信息发生变化。
2024年11月26日,富途控股宣布派发每股美国存托股票(ADS)1.95美元的特别现金股息,总股息为2.00美元,减去0.05美元的存托费。记录日期定为2024年12月6日,付款日期为2025年1月10日。除息日也是2024年12月6日。合同调整将从2024年12月6日起生效,新的乘数为100。行使价将降低1.95美元;例如,17.50的行使价将调整为15.55美元。选项符号保持不变。此次调整影响每张合约100张富途ADS。建议投资者独立核实与本次公司活动相关的所有信息,因为调整可能会根据新信息发生变化。
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