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Daily Dividends

VOD

RNS Number : 0557Z
LGIM Liquidity Funds Plc
23 May 2016
 

 


STOCK EXCHANGE ANNOUNCEMENT - FOR IMMEDIATE RELEASE

 



LGIM Liquidity Funds Plc (the "Fund")

LGIM Sterling Liquidity Fund, LGIM US Dollar Liquidity (The "Sub-Funds")

 



Re: Daily Dividends

 


           23rd May 2016

 

 

The Directors of the Fund wish to announce that the following daily dividends were issued by the Sub-Funds:

 

                                                            15th May 2016

The Directors of the Fund wish to announce that the following daily dividends were issued by the

Sub-Funds:

 

Sub- Fund

Class

Record Date

Pay Date

Rate Per Share

LGIM Sterling Liquidity Fund

Class 1

15/05/2016

01/06/2016

0.00004870624051671


Class 2

15/05/2016

01/06/2016

0.00003298000000000


Class 3

15/05/2016

01/06/2016

0.00003705849401888


Class 4

15/05/2016

01/06/2016

0.00004115689999526

LGIM US Dollar Liquidity

Class 1

15/05/2016

01/06/2016

0.00004129698060849


Class 3

15/05/2016

01/06/2016

0.00003003665854758


Class 4

15/05/2016

01/06/2016

-

 

16th May 2016

The Directors of the Fund wish to announce that the following daily dividends were issued by the

Sub-Funds:

 

Sub- Fund

Class

Record Date

Pay Date

Rate Per Share

LGIM Sterling Liquidity Fund

Class 1

16/05/2016

01/06/2016

0.00001598783574510


Class 2

16/05/2016

01/06/2016

0.00001076000000000


Class 3

16/05/2016

01/06/2016

0.00001210562200444


Class 4

16/05/2016

01/06/2016

0.00001347174566540

LGIM US Dollar Liquidity

Class 1

16/05/2016

01/06/2016

0.00001360394879270


Class 3

16/05/2016

01/06/2016

0.00000984885490712


Class 4

16/05/2016

01/06/2016

-

 

 

 

 

 


17th May 2016


The Directors of the Fund wish to announce that the following daily dividends were issued by the

Sub-Funds:

Sub- Fund

Class

Record Date

Pay Date

Rate Per Share

LGIM Sterling Liquidity Fund

Class 1

17/05/2016

01/06/2016

0.00001595562968750


Class 2

17/05/2016

01/06/2016

0.00001070000000000


Class 3

17/05/2016

01/06/2016

0.00001207263108303


Class 4

17/05/2016

01/06/2016

0.00001343875949572

LGIM US Dollar Liquidity

Class 1

17/05/2016

01/06/2016

0.00001316964983553


Class 3

17/05/2016

01/06/2016

0.00000941577116327


Class 4

17/05/2016

01/06/2016

-

 


18th May 2016


The Directors of the Fund wish to announce that the following daily dividends were issued by the

Sub-Funds:  

Sub- Fund

Class

Record Date

Pay Date

Rate Per Share

LGIM Sterling Liquidity Fund

Class 1

18/05/2016

01/06/2016

0.00001595112351925


Class 2

18/05/2016

01/06/2016

0.00001070000000000


Class 3

18/05/2016

01/06/2016

0.00001206824104702


Class 4

18/05/2016

01/06/2016

0.00001343438893553

LGIM US Dollar Liquidity

Class 1

18/05/2016

01/06/2016

0.00001348222871581


Class 3

18/05/2016

01/06/2016

0.00000972461769281


Class 4

18/05/2016

01/06/2016

-

 

19th May 2016

 

The Directors of the Fund wish to announce that the following daily dividends were issued by the Sub-Funds:

Sub- Fund

Class

Record Date

Pay Date

Rate Per Share

LGIM Sterling Liquidity Fund

Class 1

19/05/2016

01/06/2016

0.00001598456562453


Class 2

19/05/2016

01/06/2016

0.00001074000000000


Class 3

19/05/2016

01/06/2016

0.00001210187330479


Class 4

19/05/2016

01/06/2016

0.00001346801942709

LGIM US Dollar Liquidity

Class 1

19/05/2016

01/06/2016

0.00001435913769668


Class 3

19/05/2016

01/06/2016

0.00001059668568865


Class 4

19/05/2016

01/06/2016

-

 

Enquiries:

 

Dillon Eustace

Helen Daly

+ 353-16670022

 

 

 

This announcement has been issued through the Companies Announcement Service of

the Irish Stock Exchange.

 

 

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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