Summary by Moomoo AI
ZIM Integrated Shipping Services Ltd. announced a Special Cash Dividend of $0.84 per ordinary share. The record date is December 2, 2024, with a payable date of December 9, 2024. The ex-distribution date is also December 2, 2024.Contract adjustments will be effective from December 2, 2024. The new multiplier is set at 100, affecting premium extensions and strike prices. For instance, a strike price of 2.50 will be reduced to 1.66, and a strike of 45.00 will be adjusted to 44.16.The option symbol remains ZIM, with deliverables per contract being 100 ZIM ordinary shares. Investors are advised to independently verify all information related to this corporate event.