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[6-K] PRUDENTIAL PLC ADS (REP 2 ORD SHARES) Current Report (Foreign Issuer)

Filing Impact
(Low)
Filing Sentiment
(Neutral)
Form Type
6-K
Rhea-AI Filing Summary

Prudential plc announced a 2025 first interim dividend of 7.71 US cents per ordinary share. The company will pay shareholders in pounds sterling or Hong Kong dollars from the UK and Hong Kong registers unless shareholders elect US dollar payment by 25 September 2025. The pound and Hong Kong dollar amounts will be announced on or around 2 October 2025, using actual rates Prudential achieves when buying those currencies. Ex-dividend date is 4 September 2025 and record date is 5 September 2025. Dividend payment dates are expected on or around 16 October 2025 for Hong Kong, UK and ADR holders and 23 October 2025 for Singapore holders. A scrip dividend alternative will be offered on the Hong Kong line only and a Dividend Reinvestment Plan is available to UK shareholders.

Prudential plc ha annunciato un dividendo intermedio 2025 di prima tranche pari a 7,71 centesimi USA per azione ordinaria. La società pagherà gli azionisti in sterline britanniche o in dollari di Hong Kong per i registri del Regno Unito e di Hong Kong, salvo diversa scelta di pagamento in dollari USA da comunicare entro il 25 settembre 2025. Gli importi in sterline e in dollari di Hong Kong saranno resi noti il 2 ottobre 2025 circa, utilizzando i tassi effettivi che Prudential otterrà al momento dell'acquisto delle valute. La data ex-dividendo è il 4 settembre 2025 e la data di riferimento è il 5 settembre 2025. Le date di pagamento sono previste intorno al 16 ottobre 2025 per i titolari in Hong Kong, Regno Unito e ADR e intorno al 23 ottobre 2025 per i titolari a Singapore. Sulla linea di Hong Kong sarà offerta solo un'alternativa in azioni (scrip dividend) e per gli azionisti del Regno Unito è disponibile un Piano di reinvestimento dei dividendi.

Prudential plc anunció un dividendo interino 2025, primera entrega, de 7,71 centavos de dólar estadounidense por acción ordinaria. La compañía pagará a los accionistas en libras esterlinas o en dólares de Hong Kong desde los registros del Reino Unido y de Hong Kong, salvo que los accionistas elijan el pago en dólares estadounidenses antes del 25 de septiembre de 2025. Los importes en libras y en dólares de Hong Kong se anunciarán el 2 de octubre de 2025 aproximadamente, usando los tipos reales que Prudential consiga al comprar esas divisas. La fecha ex-dividendo es el 4 de septiembre de 2025 y la fecha de registro es el 5 de septiembre de 2025. Se esperan pagos alrededor del 16 de octubre de 2025 para titulares en Hong Kong, Reino Unido y ADR, y alrededor del 23 de octubre de 2025 para titulares en Singapur. En la línea de Hong Kong solo se ofrecerá la alternativa de scrip dividend y para los accionistas del Reino Unido está disponible un Plan de Reinvención de Dividendos.

Prudential plc는 2025년 첫 임시배당금으로 보통주당 미화 7.71센트를 발표했습니다. 회사는 영국 및 홍콩 등록 명부에 등록된 주주에게 파운드화 또는 홍콩달러로 지급하되, 주주가 2025년 9월 25일까지 미달러 지급을 선택하지 않으면 해당 통화로 지급됩니다. 파운드 및 홍콩달러 금액은 Prudential이 해당 통화를 매입할 때 확보하는 실제 환율을 사용하여 2025년 10월 2일경에 공지됩니다. 배당락일은 2025년 9월 4일, 기준일은 2025년 9월 5일입니다. 배당 지급일은 홍콩, 영국 및 ADR 보유자에게는 2025년 10월 16일경, 싱가포르 보유자에게는 2025년 10월 23일경으로 예상됩니다. 홍콩 라인에서는 주식 배당(scrip dividend) 대안만 제공되며 영국 주주에게는 배당 재투자 계획(Dividend Reinvestment Plan)이 제공됩니다.

Prudential plc a annoncé un dividende intérimaire 2025, première tranche, de 7,71 cents US par action ordinaire. La société versera aux actionnaires en livres sterling ou en dollars de Hong Kong depuis les registres du Royaume‑Uni et de Hong Kong, sauf si les actionnaires optent pour un paiement en dollars US avant le 25 septembre 2025. Les montants en livres et en dollars de Hong Kong seront annoncés autour du 2 octobre 2025, en utilisant les taux effectifs que Prudential obtiendra lors de l'achat de ces devises. La date ex‑dividende est le 4 septembre 2025 et la date d'enregistrement est le 5 septembre 2025. Les paiements sont prévus aux alentours du 16 octobre 2025 pour les détenteurs à Hong Kong, au Royaume‑Uni et les détenteurs d'ADR, et autour du 23 octobre 2025 pour les détenteurs à Singapour. Une alternative en actions (scrip dividend) sera proposée uniquement sur la ligne de Hong Kong et un Plan de réinvestissement des dividendes est disponible pour les actionnaires du Royaume‑Uni.

Prudential plc hat eine erste Zwischen-Dividende 2025 in Höhe von 7,71 US-Cent je Stammaktie angekündigt. Das Unternehmen zahlt Aktionären in Pfund Sterling oder Hongkong-Dollar aus den UK- und Hongkong-Registern, sofern Aktionäre nicht bis zum 25. September 2025 eine Zahlung in US-Dollar wählen. Die Beträge in Pfund und Hongkong-Dollar werden voraussichtlich am oder um den 2. Oktober 2025 bekanntgegeben, wobei die tatsächlich von Prudential beim Kauf der Währungen erzielten Kurse verwendet werden. Ex-Dividenden-Tag ist der 4. September 2025, Stichtag ist der 5. September 2025. Die Zahlungstermine werden voraussichtlich etwa am 16. Oktober 2025 für Inhaber in Hongkong, Großbritannien und ADR sowie am 23. Oktober 2025 für Inhaber in Singapur liegen. Auf der Hongkong-Linie wird nur eine Scrip-Dividenden-Option angeboten; für britische Aktionäre steht ein Dividend Reinvestment Plan zur Verfügung.

Positive
  • Interim dividend declared at 7.71 US cents per ordinary share, representing a cash return to shareholders
  • Multiple currency payment options (USD, GBP, HKD, SGD) provide flexibility for international shareholders
  • Scrip dividend alternative offered (Hong Kong line) and a UK Dividend Reinvestment Plan (DRIP) available
Negative
  • Shares bought back awaiting cancellation on the Record Date are ineligible for the dividend
  • Complex election mechanics and strict deadlines (e.g., CREST USE settlement by 25 September 2025) may create administrative friction for some shareholders

Insights

TL;DR: A cash dividend of 7.71 US cents with a scrip option and multi-currency election gives shareholders flexibility and signals capital distribution.

The announced interim dividend of 7.71 US cents per share is a clear cash return to investors, with the company providing multiple currency payment options and a scrip dividend alternative on the Hong Kong line. Key operational dates are specified, and Prudential outlines election mechanics including CREST/EEEs and deadlines that shareholders must meet to receive non-default currencies or scrip shares. The dividend mechanics and DRIP option indicate an established shareholder distribution policy without additional financial metrics disclosed in this document.

TL;DR: Governance procedures are thorough; election and listing mechanics are detailed but administratively complex for some shareholders.

Prudential provides detailed procedural guidance covering currency elections, CREST processes, ADR payments via Citibank, and registrar contacts, which demonstrates governance attention to shareholder communications and regulatory compliance across multiple exchanges. The scrip alternative limited to the Hong Kong line and the explicit exclusion of shares awaiting cancellation on the Record Date are notable governance details that materially affect eligibility and require shareholder action by stated deadlines.

Prudential plc ha annunciato un dividendo intermedio 2025 di prima tranche pari a 7,71 centesimi USA per azione ordinaria. La società pagherà gli azionisti in sterline britanniche o in dollari di Hong Kong per i registri del Regno Unito e di Hong Kong, salvo diversa scelta di pagamento in dollari USA da comunicare entro il 25 settembre 2025. Gli importi in sterline e in dollari di Hong Kong saranno resi noti il 2 ottobre 2025 circa, utilizzando i tassi effettivi che Prudential otterrà al momento dell'acquisto delle valute. La data ex-dividendo è il 4 settembre 2025 e la data di riferimento è il 5 settembre 2025. Le date di pagamento sono previste intorno al 16 ottobre 2025 per i titolari in Hong Kong, Regno Unito e ADR e intorno al 23 ottobre 2025 per i titolari a Singapore. Sulla linea di Hong Kong sarà offerta solo un'alternativa in azioni (scrip dividend) e per gli azionisti del Regno Unito è disponibile un Piano di reinvestimento dei dividendi.

Prudential plc anunció un dividendo interino 2025, primera entrega, de 7,71 centavos de dólar estadounidense por acción ordinaria. La compañía pagará a los accionistas en libras esterlinas o en dólares de Hong Kong desde los registros del Reino Unido y de Hong Kong, salvo que los accionistas elijan el pago en dólares estadounidenses antes del 25 de septiembre de 2025. Los importes en libras y en dólares de Hong Kong se anunciarán el 2 de octubre de 2025 aproximadamente, usando los tipos reales que Prudential consiga al comprar esas divisas. La fecha ex-dividendo es el 4 de septiembre de 2025 y la fecha de registro es el 5 de septiembre de 2025. Se esperan pagos alrededor del 16 de octubre de 2025 para titulares en Hong Kong, Reino Unido y ADR, y alrededor del 23 de octubre de 2025 para titulares en Singapur. En la línea de Hong Kong solo se ofrecerá la alternativa de scrip dividend y para los accionistas del Reino Unido está disponible un Plan de Reinvención de Dividendos.

Prudential plc는 2025년 첫 임시배당금으로 보통주당 미화 7.71센트를 발표했습니다. 회사는 영국 및 홍콩 등록 명부에 등록된 주주에게 파운드화 또는 홍콩달러로 지급하되, 주주가 2025년 9월 25일까지 미달러 지급을 선택하지 않으면 해당 통화로 지급됩니다. 파운드 및 홍콩달러 금액은 Prudential이 해당 통화를 매입할 때 확보하는 실제 환율을 사용하여 2025년 10월 2일경에 공지됩니다. 배당락일은 2025년 9월 4일, 기준일은 2025년 9월 5일입니다. 배당 지급일은 홍콩, 영국 및 ADR 보유자에게는 2025년 10월 16일경, 싱가포르 보유자에게는 2025년 10월 23일경으로 예상됩니다. 홍콩 라인에서는 주식 배당(scrip dividend) 대안만 제공되며 영국 주주에게는 배당 재투자 계획(Dividend Reinvestment Plan)이 제공됩니다.

Prudential plc a annoncé un dividende intérimaire 2025, première tranche, de 7,71 cents US par action ordinaire. La société versera aux actionnaires en livres sterling ou en dollars de Hong Kong depuis les registres du Royaume‑Uni et de Hong Kong, sauf si les actionnaires optent pour un paiement en dollars US avant le 25 septembre 2025. Les montants en livres et en dollars de Hong Kong seront annoncés autour du 2 octobre 2025, en utilisant les taux effectifs que Prudential obtiendra lors de l'achat de ces devises. La date ex‑dividende est le 4 septembre 2025 et la date d'enregistrement est le 5 septembre 2025. Les paiements sont prévus aux alentours du 16 octobre 2025 pour les détenteurs à Hong Kong, au Royaume‑Uni et les détenteurs d'ADR, et autour du 23 octobre 2025 pour les détenteurs à Singapour. Une alternative en actions (scrip dividend) sera proposée uniquement sur la ligne de Hong Kong et un Plan de réinvestissement des dividendes est disponible pour les actionnaires du Royaume‑Uni.

Prudential plc hat eine erste Zwischen-Dividende 2025 in Höhe von 7,71 US-Cent je Stammaktie angekündigt. Das Unternehmen zahlt Aktionären in Pfund Sterling oder Hongkong-Dollar aus den UK- und Hongkong-Registern, sofern Aktionäre nicht bis zum 25. September 2025 eine Zahlung in US-Dollar wählen. Die Beträge in Pfund und Hongkong-Dollar werden voraussichtlich am oder um den 2. Oktober 2025 bekanntgegeben, wobei die tatsächlich von Prudential beim Kauf der Währungen erzielten Kurse verwendet werden. Ex-Dividenden-Tag ist der 4. September 2025, Stichtag ist der 5. September 2025. Die Zahlungstermine werden voraussichtlich etwa am 16. Oktober 2025 für Inhaber in Hongkong, Großbritannien und ADR sowie am 23. Oktober 2025 für Inhaber in Singapur liegen. Auf der Hongkong-Linie wird nur eine Scrip-Dividenden-Option angeboten; für britische Aktionäre steht ein Dividend Reinvestment Plan zur Verfügung.

SECURITIES AND EXCHANGE COMMISSION
 
Washington, D.C. 20549
 
FORM 6-K
 
REPORT OF FOREIGN PRIVATE ISSUER
 
Pursuant to Rule 13a-16 or 15d-16 of
the Securities Exchange Act of 1934
 
For the month of August, 2025
 
PRUDENTIAL PUBLIC LIMITED COMPANY
 
(Translation of registrant's name into English)
 
13/F, One International Finance Centre,
1 Harbour View Street, Central,
Hong Kong, China
 
(Address of principal executive offices)
 
Indicate by check mark whether the registrant files or will file annual reports
under cover Form 20-F or Form 40-F.
 
Form 20-F X           Form 40-F
 
Indicate by check mark whether the registrant by furnishing the information
contained in this Form is also thereby furnishing the information to the
Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934.
 
Yes              No X
 
If "Yes" is marked, indicate below the file number assigned to the registrant
in connection with Rule 12g3-2(b): 82-
 
 
Prudential plc - First Interim Dividend
 
Prudential plc ("Prudential") has today announced its 2025 first interim dividend of 7.71 US cents per ordinary share (the "Dividend").
 
Shareholders holding shares on the UK or Hong Kong share registers will receive their dividend payments in either pounds sterling or Hong Kong dollars respectively, unless they elect to receive dividend payments in US dollars. Elections for US dollar payments must be made through the relevant UK or Hong Kong share registrar on or before 25 September 2025. Further information is available at https://www.prudentialplc.com
/en/‌investors/shareholder-information/dividend/dividend-currency-election. The corresponding amount per share in pounds sterling and Hong Kong dollars is expected to be announced on or around 2 October 2025. The US dollar to pound sterling and to Hong Kong dollar conversion rates will be determined by the actual rates achieved by Prudential buying those currencies.
 
Holders of American Depositary Receipts ("ADRs") will receive their dividend payments in US dollars through Citibank N.A., the ADR Depositary. Shareholders holding an interest in Prudential shares through The Central Depository (Pte) Limited ("CDP") in Singapore ("Singapore Shareholders") will receive their dividend payments in Singapore dollars at the prevailing market exchange rate.
 
All shares bought back by Prudential awaiting cancellation on the Record Date (as defined below) are not eligible for the 2025 first interim dividend.
 
A scrip dividend alternative will be offered in respect of the 2025 first interim dividend in accordance with the Evergreen Scrip Dividend Scheme Terms and Conditions available on Prudential's website at https://www.prudentialplc.com/en/investors/shareholder-information/dividend/scrip-dividend. The scrip dividend alternative will involve the issuance of relevant new ordinary shares on the Hong Kong line only. Prudential will make available a share dealing facility (the "Dealing Facility") to enable shareholders who are not able to hold their shares on the Hong Kong line to participate in the scrip dividend alternative.
 
Unless a shareholder has an existing scrip dividend mandate in place, elections for the scrip dividend alternative must be received by the deadlines specified in the timetable below. In particular, shareholders holding shares through CREST or an intermediary / CCASS, or Singapore Shareholders who cannot apply for a permanent election, will need to complete a scrip dividend election by the relevant deadline specified below, as their past elections cannot be captured.
 
Prudential will apply to the Financial Conduct Authority, the Listing Committee of the Hong Kong Stock Exchange ("HKEX") and to Singapore Exchange Securities Trading Limited ("SGX") for the new shares to be listed, and to the HKEX, London Stock Exchange ("LSE") and SGX for the shares to be admitted to trading on the HKEX, LSE and SGX.
 
Shareholders on the UK register have the option of participating in the Dividend Reinvestment Plan (DRIP) instead of the scrip dividend alternative, which enables shareholders to invest their cash dividend directly in the purchase of Prudential's shares in the market. Further information on the DRIP is available at https://www.prudentialplc.com/en/investors/shareholder-information/dividend/dividend-reinvestment-plan.
 
2025 first interim dividend timetable
 
Ex-dividend date
4 September 2025 (Hong Kong, UK and Singapore) (the "Ex-Dividend Date")
Record date
5 September 2025 (the "Record Date")
Announcement of Scrip Reference Price(2)
11 September 2025
   
 
Expected publication of mandate forms
On or around 11 September 2025 (Hong Kong)
On or around 12 September 2025 (Singapore)
Mandate forms for UK shareholders are available to download on Prudential's website.
Deadline for receipt of currency elections
5.00pm (UK register) or 4.30pm (Hong Kong register)(3) on 25 September 2025
Deadline for receipt of scrip dividend elections
5.30pm (Singapore register)  on 18 September 2025
5.00pm (UK register) or 4.30pm (Hong Kong register)(3) on 25 September 2025
(the "Election Deadline Date", as applicable)
Deadline for receipt of DRIP elections
5.00pm (UK register) on 25 September 2025
Announcement regarding issue of new shares pursuant to scrip dividend alternative
On or around 30 September 2025
Pound sterling and Hong Kong dollar amount per share announced
On or around 2 October 2025 (the "Exchange Rate Date")
Payment date, when cash dividends are paid and applicable CCASS accounts are credited with new scrip shares (other than scrip shares to be sold under the Dealing Facility(4))
16 October 2025 (Hong Kong, UK and ADR holders)
On or around 23 October 2025 (Singapore)
(the "Dividend Payment Date", as applicable)
 
Notes:
 
(1)   All times are local times.

(2)   The price used to calculate the number of new ordinary shares offered under the scrip dividend alternative is the average middle-market price of the shares of Prudential on the LSE over a five-day dealing period commencing on the Ex-Dividend Date and converted to US Dollars using the mid-point WMR spot exchange rates quoted by Bloomberg in London at or around 11.00am on 10 September 2025.
 
(3)   The latest time for returning the mandate form by Hong Kong shareholders will be extended, as the case may be, in accordance with (a) and (b) below if a tropical cyclone warning signal number 8 or above, or "extreme conditions" announced by the Government of Hong Kong, or a "black" rainstorm warning signal is in force in Hong Kong (all times Hong Kong time):
 
a.  at any time before 12.00 noon and no longer in force after 12.00 noon on Thursday, 25 September 2025, in which case the latest time for the return of the mandate form will be extended to 5.00pm on the same business day; or
 
b.  at any time between 12.00 noon and 4.00pm on Thursday, 25 September 2025, in which case the latest time for the return of the mandate form will be extended to 4.30pm on the next business day where none of the above warnings is in force at any time between 9.00am and 4.00pm.
 
(4)   Distribution of sale proceeds to shareholders (holding their shares on the UK share register) participating in the scrip dividend alternative via the Dealing Facility will be made within 14 Hong Kong trading days of the completion of the sale of the relevant shares.
 
 
Elections for shares held on the UK share register via CREST
 
On 9 September 2025, Prudential's registrar, Computershare Investor Services PLC ("Computershare"), will distribute Electronic Election Entitlements ("EEEs") (Interim ISIN code GB00BTRC9G00) to all Prudential shareholders holding shares on the UK share register through CREST on the Record Date. To make an election via EEEs, shareholders holding through CREST will be required to transfer an appropriate number of entitlement shares into a CREST member account via an Unmatched Stock Event ("USE") transaction. There will be a separate account designated to each option, and these details will be made available in the CREST system.
 
Elections via CREST should be received by Computershare no later than 5.00pm on 25 September 2025. If the USE is not settled by such deadline, the dividend will be paid in cash in the default currency. Shareholders holding shares through CREST will need to ensure that their election is made to the appropriate CREST Member Account as detailed in the Corporate Action event that will be made available in the CREST system by Euroclear UK & International Limited ("Euroclear") against the Interim ISIN Code GB00BTRC9G00.
 
An election via CREST will not apply in respect of future dividends as Euroclear will centrally delete all existing dividend election instruction messages submitted on Prudential ordinary shares prior to the Record Date. Therefore, in order to avoid automatically receiving the cash dividend in its default currency, elections will need to be made via Dividend with Options ("DWO") for the 2025 first interim dividend and every future dividend.
 
Registrars' contact details
 
Register
 
Contact details
UK register:
Computershare Investor Services PLC
 
The Pavilions, Bridgwater Road, Bristol, BS13 8AE, United Kingdom.
 
Telephone: +44 (0)370 707 1507
 
Lines are open from 8.30am to 5.30pm, Monday to Friday excluding weekends and bank holidays.
 
Hong Kong register: Computershare Hong Kong Investor Services Limited
17M Floor, Hopewell Centre, 183 Queen's Road East, Wan Chai, Hong Kong.
 
Telephone: +852 2862 8555
 
Lines are open from 9.00am to 6.00pm, Monday to Friday excluding weekends and bank holidays.
 
Singapore CDP
Shareholders who have shares standing to the credit of their securities accounts with the CDP in Singapore may refer queries to the CDP.
 
Enquiries regarding shares held in Depository Agent Sub-accounts should be directed to your Depository Agent or broker.
 
Email: asksgx@sgx.com
Telephone: +65 6535 7511
 
Lines are open from 8.30am to 5.00pm, Monday to Friday excluding weekends and public holidays.
 
ADRs
Citibank Shareholder Services, P.O. Box 43077, Providence, RI 02940-3077, USA.
 
Telephone:      +1 877 248 4237 (toll free within the United States)
                        +1 781 575 4555 (for international callers)
 
Email: citibank@shareholders-online.com
 
 
 
Contacts
 
Media
 
Investors/Analysts
 
Simon Kutner
+44 7581 023260
Patrick Bowes
+852 2918 5468
Sonia Tsang
+852 5580 7525
William Elderkin
+44 20 3977 9215
 
 
Ming Hau
+44 20 3977 9293
 
 
Bosco Cheung
+852 2918 5499
 
 
Tianjiao Yu
+852 2918 5487
 
About Prudential plc
 
Prudential provides life and health insurance and asset management in Greater China, ASEAN, India and Africa. Prudential's mission is to be the most trusted partner and protector for this generation and generations to come, by providing simple and accessible financial and health solutions. The business has dual primary listings on the Stock Exchange of Hong Kong (HKEX: 2378) and the London Stock Exchange (LSE: PRU). It also has a secondary listing on the Singapore Stock Exchange (SGX: K6S) and a listing on the New York Stock Exchange (NYSE: PUK) in the form of American Depositary Receipts. It is a constituent of the Hang Seng Composite Index and is also included for trading in the Shenzhen-Hong Kong Stock Connect programme and the Shanghai-Hong Kong Stock Connect programme.
 
Prudential is not affiliated in any manner with Prudential Financial, Inc. a company whose principal place of business is in the United States of America, nor with The Prudential Assurance Company Limited, a subsidiary of M&G plc, a company incorporated in the United Kingdom.
 
The ISIN code for the ordinary shares of Prudential is GB0007099541 and the TIDM code is PRU.
 
https://www.prudentialplc.com/
 
 
 
 
 
 
 
SIGNATURES
 
 
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
 
 
 
 
 
Date27 August 2025
 
 
PRUDENTIAL PUBLIC LIMITED COMPANY
 
 
 
By: /s/  Thomas Clarkson
 
 
 
Thomas Clarkson
 
Company Secretary

FAQ

What is the 2025 first interim dividend for Prudential plc (PUK)?

Prudential declared a 2025 first interim dividend of 7.71 US cents per ordinary share.

What are the key dates for the Prudential plc 2025 first interim dividend?

Ex-dividend date is 4 September 2025, Record Date is 5 September 2025, Election Deadline for US dollar payments is 25 September 2025, and Dividend Payment Dates are on or around 16 October 2025 (HK, UK, ADR) and 23 October 2025 (Singapore).

Can Prudential shareholders elect to receive the dividend in US dollars?

Yes. Shareholders on the UK or Hong Kong registers may elect US dollar payments via the relevant registrar on or before 25 September 2025.

Is there a scrip dividend option for the 2025 first interim dividend?

Yes. A scrip dividend alternative will be offered in respect of the 2025 first interim dividend on the Hong Kong line only; a Dealing Facility is available for those who cannot hold shares on the Hong Kong line.

How will ADR holders receive the dividend?

ADR holders will receive their dividend payments in US dollars through Citibank N.A. the ADR Depositary.
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