FOLGENDE WERTPAPIERE WERDEN AM 21.10.2011 CUM DIVIDENDE UND AM 24.10.2011
EX DIVIDENDE GEHANDELT.
THE PRE-DIVIDEND DAY OF THE FOLLOWING SHARES WILL BE 21.10.2011. THE
EX-DIVIDEND DAY WILL BE 24.10.2011.
INSTR ISIN INSTRUMENT NAME DIVIDEND AMOUNT
SNM IT0003153415 SNAM RETE GAS EO 1 0.100 EUR
EX DIVIDENDE GEHANDELT.
THE PRE-DIVIDEND DAY OF THE FOLLOWING SHARES WILL BE 21.10.2011. THE
EX-DIVIDEND DAY WILL BE 24.10.2011.
INSTR ISIN INSTRUMENT NAME DIVIDEND AMOUNT
SNM IT0003153415 SNAM RETE GAS EO 1 0.100 EUR