Vermilion distributes quarterly dividends to our 股东.
Our dividend is intended to increase in accordance with the company’s profitability and maintain its stability even in times of low commodity prices. Our dividend is an important aspect of our overall strategy, as it is centered on generating value for our 股东.
Dividend Payment Information
|EX-DIVIDEND DATE (1)||记录日期(2)||付款日期||DIVIDEND AMOUNT ($)||纳税年度(3)|
|TOTAL DIVIDENDS DECLARED IN 2023||$0.30|
Ex-dividend Date: One business day prior to the record date. To be a stockholder on the Record Date, you must purchase the stock before the ex-dividend date.
**Regulations for trade settlement were revised effective September 5, 2017 to one day before Record Date
The date on which 股东 must hold the stock to receive the applicable dividend.
The taxation year to which the dividend is applicable.
Used to calculate the amount of shares issued under the Dividend Reinvestment Plan. For the Dividend Reinvestment Component of the Plan, shares are issued to the participant at the Average Market Price. For the period that the Premium DividendTM Component of the Plan was in place, shares were issued to the Plan Broker at 96.5% of the Average Market Price.
All dividends declared and paid to Canadian Resident Individual Shareholders have been designated as eligible dividends for purposes of the Canadian Income Tax Act. Shareholders are encouraged to consult their tax advisors should they have questions relating to the tax treatment of Vermilion Energy’s dividends and the computation of the cost base of their investment in Vermilion Energy
Direct Deposit Information
Direct deposit of dividends can be requested by contacting Odyssey Trust Company of 加拿大 and requesting a Direct Deposit Form.
Odyssey Trust Company
Stock Exchange Tower
1230-300 5th Avenue SW, Calgary AB T2P 3C4