Parques Reunidos Servicios Centrales, S.A. ("Parques Reunidos" or the "Company"), pursuant to article 228 of the consolidated text of the Securities Market Act, approved by Royal Legislative Decree 4/2015, of 23 October, hereby informs of the following:

MATERIAL FACT

In compliance with the resolutions approved by the ordinary General Shareholders Meeting on 16 March 2017 (material fact number 249638), the dividend corresponding to financial year 2016 will be paid on 19 July 2017 and will be distributed among the outstanding shares that entitle their shareholders to receive such dividend on the aforementioned date, in accordance with the following:

Payment date

19 July 2017

Gross dividend per share (euro/share)

0.2477

Net dividend per share (euro/share)

0.200637

Payment will be made in cash through the participating entities of the Sociedad de Gestión de los Sistemas de Registro, Compensación y Liquidación de Valores, S.A. (IBERCLEAR) in which each shareholder has its shares deposited.

In Madrid, on 6 June 2017

Parques Reunidos Servicios Centrales, S.A.

Parques Reunidos Servicios Centrales SA published this content on 06 June 2017 and is solely responsible for the information contained herein.
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