HKEX:2317 - Vedan International (Holdings) Ltd Vedan International (Holdings)
Sector: Consumer Staples, Industry: Packaged Foods & Meats
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Summary


ExDate Payable Date Type Amount (%)
15 Sep 2022 6 Oct 2022 Projected USD 0.00272 (HKD 0.0212) (3.12%)
21 May 2022 10 Jun 2022 Projected USD 0.00462 (HKD 0.036) (5.29%)
15 Sep 2021 6 Oct 2021 OrdinaryDividend USD 0.00272 (HKD 0.0211) (2.68%)
21 May 2021 10 Jun 2021 OrdinaryDividend USD 0.00462 (HKD 0.0357) (4.48%)
16 Sep 2020 7 Oct 2020 OrdinaryDividend USD 0.00194 (HKD 0.015) (1.98%)
21 May 2020 9 Jun 2020 OrdinaryDividend USD 0.00214 (HKD 0.0165) (2.21%)
18 Sep 2019 9 Oct 2019 OrdinaryDividend USD 0.004 (HKD 0.0313) (3.96%)
23 May 2019 11 Jun 2019 OrdinaryDividend USD 0.00265 (HKD 0.0207) (2.70%)
10 Sep 2018 28 Sep 2018 OrdinaryDividend USD 0.00298 (HKD 0.0233) (3.00%)
25 May 2018 8 Jun 2018 OrdinaryDividend USD 0.0044 (HKD 0.0346) (4.21%)
25 Sep 2017 12 Oct 2017 OrdinaryDividend USD 0.00307 (HKD 0.0239) (2.93%)
25 May 2017 9 Jun 2017 OrdinaryDividend USD 0.00837 (HKD 0.0649) (7.17%)
26 Sep 2016 12 Oct 2016 OrdinaryDividend USD 0.0064 (HKD 0.0495) (4.82%)
26 May 2016 15 Jun 2016 OrdinaryDividend USD 0.00301 (HKD 0.0233) (3.60%)
25 Sep 2015 9 Oct 2015 OrdinaryDividend USD 0.00175 (HKD 0.0135) (3.15%)
23 Sep 2013 10 Oct 2013 OrdinaryDividend USD 0.00101 (HKD 0.0078) (1.80%)
24 May 2013 14 Jun 2013 OrdinaryDividend USD 0.00145 (HKD 0.0112) (2.21%)
17 Sep 2012 4 Oct 2012 OrdinaryDividend USD 0.00144 (HKD 0.0111) (2.23%)
25 May 2012 15 Jun 2012 OrdinaryDividend USD 0.00311 (HKD 0.024) (5.03%)
27 May 2011 17 Jun 2011 OrdinaryDividend USD 0.0024 (HKD 0.0187) (2.92%)
28 May 2010 18 Jun 2010 OrdinaryDividend USD 0.00317 (HKD 0.0247) (2.81%)
30 Sep 2009 16 Oct 2009 OrdinaryDividend USD 0.00273 (HKD 0.0212) (3.11%)
2 Oct 2008 17 Oct 2008 OrdinaryDividend USD 0.0031 (HKD 0.0241) (6.34%)
30 May 2008 19 Jun 2008 OrdinaryDividend USD 0.002911 (HKD 0.0227) (3.55%)
11 Oct 2007 30 Oct 2007 OrdinaryDividend USD 0.00262 (HKD 0.0203) (2.16%)
18 May 2007 5 Jun 2007 OrdinaryDividend USD 0.00158 (HKD 0.0124) (1.17%)
4 Oct 2006 19 Oct 2006 OrdinaryDividend USD 0.0011 (HKD 0.0086) (0.89%)
12 May 2006 1 Jun 2006 OrdinaryDividend USD 0.0011 (HKD 0.0085) (0.89%)
5 Oct 2005 20 Oct 2005 OrdinaryDividend USD 0.002 (HKD 0.0155) (1.65%)
12 May 2005 1 Jun 2005 OrdinaryDividend USD 0.0045 (HKD 0.0351) (2.78%)
5 Oct 2004 20 Oct 2004 OrdinaryDividend USD 0.0051 (HKD 0.0398) (2.26%)
14 May 2004 1 Jun 2004 OrdinaryDividend USD 0.0056 (HKD 0.0437) (2.71%)
3 Oct 2003 17 Oct 2003 OrdinaryDividend USD 0.0032 (HKD 0.0247) (1.94%)