[+]
[-]
27 May 2025
|
16 Jun 2025 |
Projected |
USD 0.181 (HKD 1.4153) (1.07%) |
27 May 2025 |
16 Jun 2025 |
Projected |
[Free Signup] |
27 May 2025 |
16 Jun 2025 |
Projected |
[Free Signup] |
[+]
[-]
31 Aug 2024
|
20 Sep 2024 |
Projected |
USD 0.86 (HKD 6.7247) (5.06%) |
31 Aug 2024 |
20 Sep 2024 |
Projected |
[Free Signup] |
31 Aug 2024 |
20 Sep 2024 |
Projected |
[Free Signup] |
[+]
[-]
27 May 2024
|
28 Jun 2024
|
Grouped |
USD 0.181 (HKD 1.4131) (1.06%) |
27 May 2024
|
28 Jun 2024
|
OrdinaryDividend |
USD 0.036 (HKD 0.281) (0.21%) |
27 May 2024
|
28 Jun 2024
|
OrdinaryDividend |
USD 0.145 (HKD 1.131) (0.85%) |
[+]
[-]
31 Aug 2023
|
11 Oct 2023
|
Grouped |
USD 0.86 (HKD 6.745) (5.77%) |
31 Aug 2023
|
11 Oct 2023
|
OrdinaryDividend |
USD 0.17 (HKD 1.326) (1.14%) |
31 Aug 2023
|
11 Oct 2023
|
OrdinaryDividend |
USD 0.69 (HKD 5.382) (4.63%) |
[+]
[-]
24 May 2023
|
29 Jun 2023
|
Grouped |
USD 4.56 (HKD 35.7091) (23.70%) |
24 May 2023
|
29 Jun 2023
|
OrdinaryDividend |
USD 1.95 (HKD 15.21) (10.13%) |
24 May 2023
|
29 Jun 2023
|
OrdinaryDividend |
USD 2.61 (HKD 20.358) (13.56%) |
[+]
[-]
1 Sep 2022
|
11 Oct 2022
|
Grouped |
USD 6 (HKD 47.0889) (21.42%) |
1 Sep 2022
|
11 Oct 2022
|
OrdinaryDividend |
USD 2.57 (HKD 20.046) (9.18%) |
1 Sep 2022
|
11 Oct 2022
|
OrdinaryDividend |
USD 3.43 (HKD 26.754) (12.25%) |
[+]
[-]
25 May 2022
|
28 Jun 2022
|
Grouped |
USD 3.3 (HKD 25.9042) (9.94%) |
25 May 2022
|
28 Jun 2022
|
OrdinaryDividend |
USD 0.69 (HKD 5.382) (2.08%) |
25 May 2022
|
28 Jun 2022
|
OrdinaryDividend |
USD 2.61 (HKD 20.358) (7.86%) |
[+]
[-]
2 Sep 2021
|
8 Oct 2021
|
Grouped |
USD 4.41 (HKD 34.2712) (17.35%) |
2 Sep 2021
|
8 Oct 2021
|
OrdinaryDividend |
USD 1.76 (HKD 13.728) (6.93%) |
2 Sep 2021
|
8 Oct 2021
|
OrdinaryDividend |
USD 2.65 (HKD 20.67) (10.43%) |
[+]
[-]
26 May 2021
|
29 Jun 2021
|
Grouped |
USD 1.3686 (HKD 10.6242) (9.83%) |
26 May 2021
|
29 Jun 2021
|
OrdinaryDividend |
USD 0.5026 (HKD 3.92) (3.61%) |
26 May 2021
|
29 Jun 2021
|
OrdinaryDividend |
USD 0.866 (HKD 6.755) (6.22%) |
16 Sep 2020
|
23 Oct 2020
|
OrdinaryDividend |
USD 0.0489 (HKD 0.381) (1.07%) |
[+]
[-]
20 May 2020
|
23 Jun 2020
|
Grouped |
USD 0.2669 (HKD 2.0688) (5.64%) |
20 May 2020
|
23 Jun 2020
|
OrdinaryDividend |
USD 0.0269 (HKD 0.21) (0.57%) |
20 May 2020
|
23 Jun 2020
|
OrdinaryDividend |
USD 0.24 (HKD 1.872) (5.07%) |
19 Dec 2019
|
3 Feb 2020
|
OrdinaryDividend |
USD 1.6 (HKD 12.48) (21.88%) |
18 Sep 2019
|
25 Oct 2019
|
OrdinaryDividend |
USD 0.0666 (HKD 0.519) (1.44%) |
22 May 2019
|
2 Jul 2019
|
OrdinaryDividend |
USD 0.077 (HKD 0.601) (1.25%) |
30 Aug 2017
|
11 Oct 2017
|
OrdinaryDividend |
USD 0.0214 (HKD 0.167) (0.23%) |
5 May 2016
|
8 Jun 2016
|
OrdinaryDividend |
USD 0.0185 (HKD 0.145) (0.48%) |
2 Sep 2015
|
15 Oct 2015
|
OrdinaryDividend |
USD 0.096 (HKD 0.749) (1.92%) |
6 May 2015
|
10 Jun 2015
|
OrdinaryDividend |
USD 0.034 (HKD 0.27) (0.56%) |
4 Sep 2014
|
16 Oct 2014
|
OrdinaryDividend |
USD 0.075 (HKD 0.585) (1.23%) |
30 Apr 2014
|
6 Jun 2014
|
OrdinaryDividend |
USD 0.0188 (HKD 0.147) (0.39%) |
2 May 2013
|
6 Jun 2013
|
OrdinaryDividend |
USD 0.0718 (HKD 0.56) (1.21%) |
4 Sep 2012
|
15 Oct 2012
|
OrdinaryDividend |
USD 0.0466 (HKD 0.363) (0.86%) |
1 Sep 2011
|
7 Oct 2011
|
OrdinaryDividend |
USD 0.07 (HKD 0.545) (1.42%) |
[+]
[-]
21 Apr 2011
|
20 May 2011
|
Grouped |
USD 2.323 (HKD 18.049) (21.54%) |
21 Apr 2011
|
20 May 2011
|
OrdinaryDividend |
USD 0.23 (HKD 1.787) (2.13%) |
21 Apr 2011
|
20 May 2011
|
OrdinaryDividend |
USD 2.093 (HKD 16.262) (19.41%) |
[+]
[-]
1 Sep 2010
|
21 Sep 2010
|
Grouped |
USD 0.515 (HKD 4.005) (6.43%) |
1 Sep 2010
|
21 Sep 2010
|
OrdinaryDividend |
USD 0.115 (HKD 0.8943) (1.44%) |
1 Sep 2010
|
21 Sep 2010
|
OrdinaryDividend |
USD 0.4 (HKD 3.1107) (4.99%) |
23 Apr 2009
|
18 May 2009
|
OrdinaryDividend |
USD 0.045 (HKD 0.3488) (1.62%) |
27 Aug 2008
|
12 Sep 2008
|
OrdinaryDividend |
USD 0.065 (HKD 0.5075) (1.90%) |
11 Apr 2008
|
5 May 2008
|
OrdinaryDividend |
USD 0.135 (HKD 1.05) (2.37%) |
[+]
[-]
29 Aug 2007
|
14 Sep 2007
|
Grouped |
USD 0.175 (HKD 1.3651) (1.51%) |
29 Aug 2007
|
14 Sep 2007
|
OrdinaryDividend |
USD 0.08 (HKD 0.6241) (0.69%) |
29 Aug 2007
|
14 Sep 2007
|
OrdinaryDividend |
USD 0.095 (HKD 0.7411) (0.82%) |
[+]
[-]
13 Apr 2007
|
7 May 2007
|
Grouped |
USD 0.92 (HKD 7.1885) (9.34%) |
13 Apr 2007
|
7 May 2007
|
OrdinaryDividend |
USD 0.12 (HKD 0.9376) (1.22%) |
13 Apr 2007
|
7 May 2007
|
OrdinaryDividend |
USD 0.8 (HKD 6.2509) (8.12%) |
30 Aug 2006
|
15 Sep 2006
|
OrdinaryDividend |
USD 0.11 (HKD 0.8556) (2.71%) |
12 Apr 2006
|
8 May 2006
|
OrdinaryDividend |
USD 0.15 (HKD 1.1637) (4.12%) |
31 Aug 2005
|
16 Sep 2005
|
OrdinaryDividend |
USD 0.12 (HKD 0.9327) (2.90%) |
1 Sep 2004
|
17 Sep 2004
|
OrdinaryDividend |
USD 0.12 (HKD 0.936) (3.66%) |
3 Sep 2003
|
26 Sep 2003
|
OrdinaryDividend |
USD 0.0385 (HKD 0.3002) (1.74%) |
23 Apr 2003
|
16 May 2003
|
OrdinaryDividend |
USD 0.025 (HKD 0.195) (2.93%) |
24 Apr 2002
|
17 May 2002
|
OrdinaryDividend |
USD 0.015 (HKD 0.117) (3.08%) |
5 Sep 2001
|
28 Sep 2001
|
OrdinaryDividend |
USD 0.01 (HKD 0.078) (2.29%) |
23 Apr 2001
|
18 May 2001
|
OrdinaryDividend |
USD 0.03 (HKD 0.234) (6.24%) |
6 Sep 2000
|
29 Sep 2000
|
OrdinaryDividend |
USD 0.01 (HKD 0.078) (1.99%) |