Key information relating to the cash dividend to be paid by MPC Container Ships ASA

Declared currency: NOK Declared currency: NOK Last day including right:4 February 2022 Ex-date:7 February 2022 Record date:8 February 2022 Payment date:10 February 2022(on or about) Date of board resolution:2 February 2022 This information is published in accordance with the requirements of the Continuing Obligations. For further information, please [email protected]. About MPC Container Ships ASA: MPC Container Ships ASA (ticker code...
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Declared currency: NOK

Last day including right: 4 February 2022

Ex-date: 7 February 2022

Record date: 8 February 2022

Payment date: 10 February 2022 (on or about)

Date of board resolution: 2 February 2022

This information is published in accordance with the requirements of the Continuing Obligations.

For further information, please contact [email protected].

About MPC Container Ships ASA:

MPC Container Ships ASA (ticker code "MPCC") is a leading container tonnage provider with a focus on the feeder segment below 5,000 TEU. Its main activity is to own and operate a portfolio of container ships serving intra-regional trade lanes on fixed-rate charters. The Company is registered and has its business office in Oslo, Norway. For more information, please see our website: www.mpc-container.com.

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