Crown Asia Chemicals Corporation announced that in a meeting held on May 14, 2024, the Corporation's Board of Directors, upon recommendation of Management, approved the declaration of cash dividends amounting to PHP 0.10 per share. Conformably with the rules of the Commission and the Philippine Stock Exchange, the Record Date and Payment Date of the foregoing cash dividend declaration shall be 28 May 2024 and 11 June 2024, respectively. Source of Dividend Payment: Unrestricted Retained Earnings as of 31 December 2023.