DIVIDEND INFORMATION

14.10.2024, 11:37:31

THE FOLLOWING INSTRUMENTS ARE TRADED CUM DIVIDEND ON 15.10.2024 AND EX DIVIDEND ON 16.10.2024.

US6934751057 / PNC FINANCIAL SERVICES GROUP*) / PNCF / 1,46426

PLEASE CONSIDER THAT THE ORDERS WILL BE DECLARED CANCELLED ON 15.10.2024 AT THE END OF THE TRADING DAY AND HAVE TO BE PLACED AGAIN ON THE BEGINNING OF THE EX-DAY.

*) DUE TO TECHNICAL REASONS, TRADING IN THE MARKED *) INSTRUMENTS WILL BE SUSPENDED ON THE CUM-DAY.