EMISORA: GLEN
TIPO DE DERECHO: GLEN
FECHA DE PAGO: 27/09/2018
FECHA EXCUPON: 06/09/2018
PROPORCION O IMPORTE: OPTION 1 (CASH IN USD-DEFAULT OPTION)- TO RECEIVE USD 0.10 PER SHARE. PAYMENT DATE SEPTEMBER 27TH 2018.OPTION 2(CASH IN GBP)-TO RECEIVE THE DIVIDEND IN GBP AT A RATE TO BE DETERMINED. PAYMENT DATE SE
NOTAS: [BOLETIN] FECHA DE REGISTRO: 07 DE SEPTIEMBRE DE 2018. OPTIONAL DIVIDEND WITH CURRENCY OPTION. THOSE PARTICIPANTS WHO DO NOT RESPOND BEFORE SEPTEMBER 7TH 2018 (MARKET DEADLINE) WILL RECEIVE OPTION 1 (CASH IN USDDEFAULT OPTION), REVISAR AVISO DEL 7-03-18