CURRENT REPORT UNDER SECTION 17 OF THE SECURITIES REGULATION CODE AND SRC RULE 17.2(c) THEREUNDER
1. Date of Report (Date of earliest event reported)
Nov 28, 2024
2. SEC Identification Number
2022030044636-5
3. BIR Tax Identification No.
607-224-091-000
4. Exact name of issuer as specified in its charter
PREMIERE ISLAND POWER REIT CORPORATION
5. Province, country or other jurisdiction of incorporation
PHILIPPINES
6. Industry Classification Code(SEC Use Only)
7. Address of principal office
4 th Floor Starmall IT Hub, CV Starr, Philamlife Pampalona Dos, Las Piñas CityPostal Code1747
8. Issuer's telephone number, including area code
+63(2) 8734 5732 / +63(2) 8775 8072
9. Former name or former address, if changed since last report
N/A
10. Securities registered pursuant to Sections 8 and 12 of the SRC or Sections 4 and 8 of the RSA
Title of Each Class
Number of Shares of Common Stock Outstanding and Amount of Debt Outstanding
COMMON STOCK
3,288,669,000
11. Indicate the item numbers reported herein
Item 9 – Other Events
The Exchange does not warrant and holds no responsibility for the veracity of the facts and representations contained in all corporate disclosures, including financial reports. All data contained herein are prepared and submitted by the disclosing party to the Exchange, and are disseminated solely for purposes of information. Any questions on the data contained herein should be addressed directly to the Corporate Information Officer of the disclosing party.
Premiere Island Power REIT CorporationPREIT
PSE Disclosure Form REIT-6-A - Declaration of Cash Dividends References: Rule 4 of the IRR of the REIT Act of 2009 Section 6 of the Disclosure Rules
Subject of the Disclosure
Declaration of Cash Dividends - 28 November 2024
Background/Description of the Disclosure
At the meeting of the Board of Directors of Premiere Island Power REIT Corporation today, 28 November 2024, the Board approved the declaration of cash dividends for the third quarter of 2024 which shall be payable in cash to all its stockholders on the basis of outstanding stocks held by them. Details as follows: Amount : Php 0.0325 per share Record Date : 13 December 2024 Payment Date : 27 December 2024
Type of Securities
Common
Preferred-
Others-
Cash Dividend
Date of Approval by Board of Directors
Nov 28, 2024
Other Relevant Regulatory Agency, if applicable
N/A
Date of Approval by Relevant Regulatory Agency, if applicable