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Month: February 2020

Front Yard Residential Corporation Reports Fourth Quarter and Full Year 2019 Results

CHRISTIANSTED, U.S. Virgin Islands, Feb. 28, 2020 (GLOBE NEWSWIRE) — Front Yard Residential Corporation (“Front Yard” or the “Company”) (NYSE: RESI) today announced financial and operating results for the fourth quarter and full year of 2019.Fourth Quarter 2019 Highlights and Recent DevelopmentsEntered into definitive merger agreement on February 17, 2020 with affiliates of Amherst Residential, LLC (“Amherst”) whereby Amherst will acquire Front Yard for $12.50 per share in a transaction valued at approximately $2.3 billion, including debt to be assumed or refinanced.Increased rental revenue by 2.6% over third quarter 2019 to $52.1 million.Full-company Core Funds from Operations was $0.05 per diluted share.¹Stabilized Rental Core Net Operating Income Margin was 57.6%.¹95.0% of stabilized rentals were leased at December 31, 2019.Fully...

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Regarding Allocation of Liquefied Natural Gas Terminal Capacities

AB Klaipedos Nafta (hereinafter – the Company) hereby informs, that upon conclusion of respective agreement, capacities of the LNG Terminal were allocated, under the conditions indicated below:LNG regasification capacities: LNG regasification capacities 999.970.000 kWh (with reference conditions: natural gas upper heating value – 11.90 kWh/nm3, LNG expansion coefficient – 1:578 (m3 LNG/ nm3 natural gas), combustion/measurement temperature – 25/0 °C, pressure – 1.01325 bar).LNG regasification period: from 1st of May, 2020 until 31st of May, 2020.The Company constantly announces and updates the information regarding available capacities of the LNG terminal at its website, which are available for booking during the Gas Year as well.Jonas Lenkšas, Chief Financial Officer, +370 694 80594.

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Dėl suteiktų suskystintųjų gamtinių dujų terminalo pajėgumų

AB „Klaipėdos nafta“ (toliau – Bendrovė) informuoja, kad pasirašius atitinkamą susitarimą, buvo suteikti suskystintųjų gamtinių dujų (toliau – SGD) terminalo pajėgumai žemiau nurodytomis sąlygomis:SGD išdujinimo pajėgumai 999.970.000 kWh (esant šioms norminėms sąlygoms: gamtinių dujų viršutinė šilumingumo vertė 11,90 kWh/m3, SGD plėtimosi koeficientas – 1:578 (m3 SGD / nm3 gamtinių dujų), degimo/matavimo temperatūra – 25/0 °C, slėgis – 1,01325 bar).SGD išdujinimo periodas: nuo 2020 m. gegužės 1 d. iki 2020 m. gegužės 31 d.Bendrovė nuolat skelbia ir atnaujina savo interneto svetainėje informaciją apie laisvus SGD terminalo pajėgumus, kuriuos galima rezervuoti einamaisiais dujų metais.Jonas Lenkšas, Finansų direktorius, +370 694 80594.

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GUERBET : Nombre d’actions et de droits de vote composant le capital de la société au 31 janvier 2020

GUERBET : Nombre d’actions et de droits de vote composant le capital de la société au 31 janvier 2020En application de l’article L. 233-8 II du code de commerce et de l’article 222-12-5 du règlement général de l’AMF, les sociétés dont des actions sont admises aux négociations sur un marché réglementé publient sur leur site Internet et transmettent à l’AMF, à la fin de chaque mois, le nombre total de droits de vote et le nombre d’actions composant le capital de la société s’ils ont varié par rapport à ceux publiés antérieurement. Ces sociétés sont réputées remplir l’obligation prévue au I de l’article L. 233-8 du code de commerce.1 calculé, comme prévu au dernier alinéa de l’article 223-11 du règlement général, sur la base de l’ensemble des actions auxquelles sont attachés...

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Laurentian Bank Financial Group declares dividends on its common and preferred shares

MONTREAL, Feb. 28, 2020 (GLOBE NEWSWIRE) — At its meeting held on February 27, 2020, the Board of Directors of the Laurentian Bank of Canada (TSX: LB) (the “Bank”) declared the following dividends:a regular quarterly dividend of 67 cents per share on common shares, payable on May 1, 2020, to the registered shareholders at the close of business on April 1, 2020.a dividend of $0.2576875 on the preferred shares Series 13, payable on March 15, 2020, to the registered shareholders at the close of business on March 9, 2020.a dividend of $0.365625 on the preferred shares Series 15, payable on March 15, 2020, to the registered shareholders at the close of business on March 9, 2020.The above-mentioned dividends are designated as eligible dividends for the purposes of the Income Tax Act (Canada) and any similar provincial and territorial...

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Banque Laurentienne Groupe Financier déclare des dividendes sur ses actions ordinaires et privilégiées

MONTRÉAL, 28 févr. 2020 (GLOBE NEWSWIRE) — Lors de sa réunion du 27 février 2020, le conseil d’administration de la Banque Laurentienne du Canada (TSX : LB) (la « Banque ») a déclaré les dividendes suivants :un dividende trimestriel régulier de 67 cents par action sur les actions ordinaires, payable le 1er mai 2020 aux actionnaires inscrits à la fermeture des bureaux le 1er avril 2020.un dividende de 0,2576875 $ par action sur les actions privilégiées série 13, payable le 15 mars 2020 aux actionnaires inscrits à la fermeture des bureaux le 9 mars 2020.un dividende de 0,365625 $ par action sur les actions privilégiées série 15, payable le 15 mars 2020 aux actionnaires inscrits à la fermeture des bureaux le 9 mars 2020.Les dividendes mentionnés ci-dessus sont considérés comme des dividendes admissibles aux fins de la Loi de...

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Landsvirkjun‘s Financial Statements 2019

Acceptable results in challenging external conditionsKey figures from the consolidated financial statements Profit before unrealized financial items amounted to USD 173.3 million compared to USD 184.1 million in the previous year, amounting to a 5.9% decrease between years.The profit for the year amounted to USD 112.7 million but was USD 121.0 in the previous year.Operating revenues amounted to USD 509.6 million which is a decrease of USD 24.3 million (4.6%) compared to the previous year.Net debt has decreased by USD 193.1 million since the end of 2018 and amounted to USD 1,691.5 million at year end 2019.  Cash flow from operating activities amounted to USD 295.8 million which is in  line with the previous year.Hörður Arnarson, CEO:„Challenging external conditions left their mark on the operations of Landsvirkjun during 2019, as they...

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Ársreikningur Landsvirkjunar 2019

Ásættanleg afkoma við krefjandi ytri aðstæðurHelstu atriði ársreikningsHagnaður fyrir óinnleysta fjármagnsliði nam 173,3 milljónum USD (21,0 ma.kr.), en var 184,1 milljón USD á sama tímabili árið áður og lækkar því um  5,9% milli tímabila.Hagnaður tímabilsins var 112,7 milljónir USD (13,6 ma.kr.) en var 121,0 milljón USD á sama tímabili árið áður.Rekstrartekjur námu 509,6 milljónum USD (61,7 ma.kr.) og lækka um 24,3 milljónir USD (4,6%) frá sama tímabili árið áður.Nettó skuldir lækkuðu um 193,1 milljón USD (23,4 ma.kr.) frá áramótum og voru í árslok 1.691,5 milljónir USD (204,7 ma.kr.). Handbært fé frá rekstri nam 295,8 milljónum USD (35,8 ma.kr.) sem er nánast óbreytt frá árinu áður.Hörður Arnarson, forstjóri:„Rekstur Landsvirkjunar litaðist af erfiðum ytri aðstæðum á árinu 2019, eins og árið áður. Afurðaverð stórra viðskiptavina var...

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Summary of AS Tallinna Sadam webinar

On 28 February 2020, AS Tallinna Sadam held a webinar for investors where the Chairman of the Management Board Valdo Kalm and CFO / Member of the Management Board Marko Raid presented the results of the Group for the fourth quarter and 12 months of 2019.AS Tallinna Sadam would like to thank all participants. The recording of the webinar can be followed up here and the presentation in English language is available at the company’s web page: https://www.ts.ee/en/investor/presentations/ .Marju ZirelHead of Investor RelationsAS Tallinna Sadamm.zirel@ts.ee

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ASi Tallinna Sadam veebiseminari kokkuvõte

28. veebruaril 2020 toimus ASi Tallinna Sadam veebiseminar, kus juhatuse esimees Valdo Kalm ja finantsjuht / juhatuse liige Marko Raid tutvustasid grupi 2019. aasta IV kvartali ja 12 kuu majandustulemusi.AS Tallinna Sadam tänab kõiki osalejaid. Veebiseminari salvestus on järelvaadatav siit ja ingliskeelse presentatsiooni leiab ettevõtte kodulehelt: https://www.ts.ee/investor/infomaterjalid/ .Marju ZirelInvestorsuhete juhtAS Tallinna Sadamm.zirel@ts.ee

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