Fair Oaks Capital ETFs - Dividend Declaration

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PR News | 16 abr, 2026

Fair Oaks Capital ETFs - Dividend Declaration Fund Share ISIN Currency TIDM Ex Record Payment Dividend Per name class date Date date type share name rate Fair UCITS LU2785470191 EUR FAAA 23/04 24/04/2 28/04/20 Quarterly 7.51 Oaks ETF AAA EUR / CLO Dist. 2026 026 26 Fund Fair UCITS LU2785470191 EUR AAAG 23/04 24/04/2 28/04/20 Quarterly 7.51 Oaks ETF AAA EUR / CLO Dist. 2026 026 26 Fund Fair Oaks AAA CLO Fund is a sub-fund of Alpha UCITS SICAV. Please note that the above dates are in respect of the primary market of the Fund. All dividend proceeds are paid in the base currency of the share class. The amount that is actually received by an investor will depend on whether the investor receives the proceeds in the same currency as the base currency of the share class.  If an investor will receive the proceeds in a currency other than the base currency of the share class, then the amount the investor will receive will be affected by the FX rate at which the investor's broker/nominee converts the proceeds. If you purchased your investment on the secondary market (for example, on a stock exchange), please liaise with your broker/nominee.  It is up to the relevant brokers/nominees to ensure that the proceeds are distributed to their underlying investor clients in accordance with the contractual arrangements they have in place with their clients. Should you have any queries, please do not hesitate to contact Fair Oaks Capital. Investor Relations Fair Oaks Capital Ltd Phone:    +44 (0) 20 3034 0400 Email:     ir@fairoakscap.com This information was brought to you by Cision http://news.cision.com https://news.cision.com/fair-oaks-capital-etfs/r/dividend-declaration,c4335502

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