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Cash Converters International Clarifies Dividend Reinvestment and NZD Payment Details

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Cash Converters International has updated its dividend notification for ordinary fully paid shares for the six-month period ended June 30, 2026. The record date for this update is September 4, 2026.

The company clarified the dividend reinvestment plan allocation price and currency details in a new announcement dated September 17, 2026. This update amends an earlier release from August 21, 2026.

Cash Converters confirmed the allocation price applicable under the dividend reinvestment plan for CCV stock. The company also specified the New Zealand dollar conversion rate for eligible shareholders with New Zealand addresses and local bank accounts.

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