Primeserv Group Limited announced final gross cash dividend of 6.00 cents per share (2021: final gross dividend of 2.50 cents per share) for the year ended 31 March 2022 was declared on, 15 July 2022, payable to shareholders recorded in the share register of the company a the close of business on the record date appearing below. The salient dates pertaining to the final dividend are as follows: Last date to trade "cum" dividend, 30 August 2022. Date trading commences "ex" dividend, 31 August 2022.

Record date, 02 September 2022. Date of payment, 05 September 2022.