[+]
[-]
24 Jun 2024
Upcoming
|
26 Jul 2024
|
Grouped |
USD 0.08 (HKD 0.6245) (4.39%) |
24 Jun 2024
Upcoming
|
26 Jul 2024
|
OrdinaryDividend |
USD 0.01 (HKD 0.078) (0.55%) |
24 Jun 2024
Upcoming
|
26 Jul 2024
|
OrdinaryDividend |
USD 0.07 (HKD 0.546) (3.84%) |
1 Jun 2023
|
27 Jul 2023
|
OrdinaryDividend |
USD 0.07 (HKD 0.546) (6.10%) |
[+]
[-]
1 Jun 2022
|
27 Jul 2022
|
Grouped |
USD 0.14 (HKD 1.0987) (10.86%) |
1 Jun 2022
|
27 Jul 2022
|
OrdinaryDividend |
USD 0.07 (HKD 0.546) (5.43%) |
1 Jun 2022
|
27 Jul 2022
|
OrdinaryDividend |
USD 0.07 (HKD 0.546) (5.43%) |
[+]
[-]
2 Jun 2021
|
27 Jul 2021
|
Grouped |
USD 0.08 (HKD 0.6207) (5.58%) |
2 Jun 2021
|
27 Jul 2021
|
OrdinaryDividend |
USD 0.01 (HKD 0.078) (0.70%) |
2 Jun 2021
|
27 Jul 2021
|
OrdinaryDividend |
USD 0.07 (HKD 0.546) (4.88%) |
2 Jun 2020
|
27 Jul 2020
|
OrdinaryDividend |
USD 0.07 (HKD 0.546) (6.04%) |
[+]
[-]
31 May 2019
|
25 Jul 2019
|
Grouped |
USD 0.12 (HKD 0.9417) (8.61%) |
31 May 2019
|
25 Jul 2019
|
OrdinaryDividend |
USD 0.05 (HKD 0.39) (3.59%) |
31 May 2019
|
25 Jul 2019
|
OrdinaryDividend |
USD 0.07 (HKD 0.546) (5.02%) |
20 Sep 2018
|
8 Nov 2018
|
OrdinaryDividend |
USD 0.05 (HKD 0.39) (3.74%) |
30 May 2018
|
26 Jul 2018
|
OrdinaryDividend |
USD 0.06 (HKD 0.468) (3.73%) |
1 Jun 2017
|
27 Jul 2017
|
OrdinaryDividend |
USD 0.06 (HKD 0.468) (3.93%) |
[+]
[-]
24 May 2016
|
28 Jul 2016
|
Grouped |
USD 0.15 (HKD 1.1651) (9.57%) |
24 May 2016
|
28 Jul 2016
|
OrdinaryDividend |
USD 0.06 (HKD 0.468) (3.83%) |
24 May 2016
|
28 Jul 2016
|
OrdinaryDividend |
USD 0.09 (HKD 0.702) (5.74%) |
[+]
[-]
27 May 2015
|
30 Jul 2015
|
Grouped |
USD 0.09 (HKD 0.6978) (3.05%) |
27 May 2015
|
30 Jul 2015
|
OrdinaryDividend |
USD 0.03 (HKD 0.234) (1.02%) |
27 May 2015
|
30 Jul 2015
|
OrdinaryDividend |
USD 0.06 (HKD 0.468) (2.03%) |
26 May 2014
|
31 Jul 2014
|
OrdinaryDividend |
USD 0.06 (HKD 0.47) (4.52%) |
22 May 2013
|
31 Jul 2013
|
OrdinaryDividend |
USD 0.05 (HKD 0.39) (3.16%) |
[+]
[-]
22 May 2012
|
31 Jul 2012
|
Grouped |
USD 0.12 (HKD 0.9319) (8.12%) |
22 May 2012
|
31 Jul 2012
|
OrdinaryDividend |
USD 0.04 (HKD 0.3106) (2.71%) |
22 May 2012
|
31 Jul 2012
|
OrdinaryDividend |
USD 0.08 (HKD 0.62) (5.41%) |
[+]
[-]
13 May 2011
|
29 Jul 2011
|
Grouped |
USD 0.11 (HKD 0.8549) (5.12%) |
13 May 2011
|
29 Jul 2011
|
OrdinaryDividend |
USD 0.04 (HKD 0.3109) (1.86%) |
13 May 2011
|
29 Jul 2011
|
OrdinaryDividend |
USD 0.07 (HKD 0.544) (3.26%) |
[+]
[-]
13 May 2010
|
30 Jul 2010
|
Grouped |
USD 0.1 (HKD 0.7782) (4.29%) |
13 May 2010
|
30 Jul 2010
|
OrdinaryDividend |
USD 0.04 (HKD 0.3113) (1.72%) |
13 May 2010
|
30 Jul 2010
|
SpecialDividend |
USD 0.06 (HKD 0.4669) (2.58%) |
24 May 2005
|
30 Jun 2005
|
OrdinaryDividend |
USD 0.007 (HKD 0.0545) (1.36%) |
21 May 2004
|
30 Jun 2004
|
OrdinaryDividend |
USD 0.008 (HKD 0.0623) (1.72%) |
13 Oct 2003
|
5 Nov 2003
|
OrdinaryDividend |
USD 0.005 (HKD 0.0387) (0.90%) |
26 May 2003
|
4 Jul 2003
|
OrdinaryDividend |
USD 0.008 (HKD 0.0624) (2.37%) |
7 Oct 2002
|
1 Nov 2002
|
OrdinaryDividend |
USD 0.005 (HKD 0.039) (1.44%) |
22 May 2002
|
5 Jul 2002
|
OrdinaryDividend |
USD 0.008 (HKD 0.0624) (1.95%) |
8 Oct 2001
|
2 Nov 2001
|
OrdinaryDividend |
USD 0.005 (HKD 0.039) (1.95%) |
18 May 2001
|
13 Jul 2001
|
OrdinaryDividend |
USD 0.008 (HKD 0.0624) (3.69%) |
9 Oct 2000
|
3 Nov 2000
|
OrdinaryDividend |
USD 0.005 (HKD 0.039) (3.07%) |