Bolsa de Valores de Mocambique
ARCO 100.00
ARKO SEGUROS 1,000.00
CDM 47,40
CETA 120,00
CMH 2.500,00
EMOSE 7.00
HCB 2,00
REVIMO 12,750.00
TOUCH 100.00
ZERO 20,00
BAYPORT 2016 I 22,50%
BAYPORT 2016 II 25.5000%
BAYPORT 2018 Série I 18.3700%
BAYPORT 2018 Série II 22.0000%
BAYPORT 2019 Série I 20.0000%
BAYPORT 2019 Série II 19.0000%
BAYPORT 2020 Série I 16.0000%
BAYPORT 2020 Série II 14.0100%
BNI 2016 S1 11.0000%
BNI 2019 S1 13.0000%
CM 2017 16.000%
CM 2018 17.0000%
OPPOR 2018 S2 21.5000%
OT 2005 S2 8.0000%
OT 2017 S2 12.4375%
OT 2017 S4 12.9375%
OT 2017 S5 12.0625%
OT 2017 S6 14.9375%
OT 2017 S7 14.9375%
OT 2018 S1 9,5625%
OT 2018 S2 9.50%
OT 2018 S3 12.2500%
OT 2018 S4 12.0625%
OT 2018 S5 12.0000%
OT 2018 S6 11,0625%
OT 2018 S7 9,5625%
OT 2018 S8 9,5625%
OT 2018 S9 9,50%
OT 2018 S10 12.4375%
OT 2018 S11 12.2500%
OT 2018 S12 12.0625%
OT 2019 S2 12.0000%
OT 2019 S3 10.9375%
OT 2019 S4 9,5625%
OT 2019 S5 9,50%
OT 2019 S6 12.2500%
OT 2019 S7 12,9375%
OT 2019 S8 10,0000%
OT 2019 S9 12.0000%
OT 2020 S1 12.0000%
OT 2020 S2 12.0000%
OT 2020 S3 12.000%
OT 2020 S4 12.0000%
OT 2020 S5 12.0000%
OT 2020 S6 10.0000%
OT 2020 S7 12.0000%
OT 2020 S8 12.0000%
OT 2020 S9 10.0000%
OT Fornecedores 2019 1.8750%
SMM 2020 20.0000%
SMM 2020 ALC80 20.0000%
STB 2015 SUB 3S 18.7500%
OT 2020 S10 10.0000%
The Central Securities Depository ensures an adequate service to the exercise of patrimonial rights attached to the securities included therein.


Payments for the year rights referred to in the paragraph above, as well as any related financial transactions must occur through financial intermediary proposed by the issuer, which will conduct the payments and transfers through financial intermediaries based on the information provided by the Central Securities Depository.

In case of payment of share dividends, the issuer of the shares must inform the Central Securities Depository, with the advance of fifteen (15) days, the amount of the dividend per share, payment date, the record date (that must be a date prior to payment), the security to which it relates and the financial intermediary that will perform the transfer of the amounts for payment.

For debt securities (bonds, commercial paper), the interest calculation period and payment dates are established at the time of its issuance, specifying the payment periods thereof.

Note: It is recommended that the date of payment of interest, dividends and similar is later than the record date or immediately following the end of the interest calculation period.

If any pending business exists close to the interest or dividends payment date, the interest or dividends will be awarded to those who are holders on the payment date. 

Ex 1:

Ex 2:

Ex 3: