[+]
[-]
12 Jun 2025
|
2 Jul 2025 |
Projected |
CNY 0.5532 (HKD 0.6087) (5.59%) |
12 Jun 2025 |
2 Jul 2025 |
Projected |
[Free Signup] |
12 Jun 2025 |
2 Jul 2025 |
Projected |
[Free Signup] |
[+]
[-]
12 Jun 2024
|
10 Jul 2024
|
Grouped |
CNY 0.5532 (HKD 0.5967) (6.20%) |
12 Jun 2024
|
10 Jul 2024
|
OrdinaryDividend |
CNY 0.2766 (HKD 0.2977) (3.10%) |
12 Jun 2024
|
10 Jul 2024
|
OrdinaryDividend |
CNY 0.2766 (HKD 0.2977) (3.10%) |
[+]
[-]
7 Jun 2023
|
12 Jul 2023
|
Grouped |
CNY 0.4672 (HKD 0.5138) (4.19%) |
7 Jun 2023
|
12 Jul 2023
|
OrdinaryDividend |
CNY 0.2336 (HKD 0.2574) (2.10%) |
7 Jun 2023
|
12 Jul 2023
|
OrdinaryDividend |
CNY 0.2336 (HKD 0.2574) (2.10%) |
4 Nov 2022
|
14 Dec 2022
|
OrdinaryDividend |
USD 0.0663 (HKD 0.5202) (4.34%) |
[+]
[-]
15 Jun 2022
|
13 Jul 2022
|
Grouped |
USD 0.106 (HKD 0.832) (6.15%) |
15 Jun 2022
|
13 Jul 2022
|
OrdinaryDividend |
USD 0.053 (HKD 0.416) (3.07%) |
15 Jun 2022
|
13 Jul 2022
|
OrdinaryDividend |
USD 0.053 (HKD 0.416) (3.07%) |
5 Nov 2021
|
15 Dec 2021
|
OrdinaryDividend |
USD 0.0688 (HKD 0.5359) (3.44%) |
[+]
[-]
9 Jun 2021
|
14 Jul 2021
|
Grouped |
USD 0.1108 (HKD 0.8598) (5.75%) |
9 Jun 2021
|
14 Jul 2021
|
OrdinaryDividend |
USD 0.0554 (HKD 0.4297) (2.87%) |
9 Jun 2021
|
14 Jul 2021
|
OrdinaryDividend |
USD 0.0554 (HKD 0.4297) (2.87%) |
[+]
[-]
10 Jun 2020
|
15 Jul 2020
|
Grouped |
USD 0.0848 (HKD 0.6572) (4.99%) |
10 Jun 2020
|
15 Jul 2020
|
OrdinaryDividend |
USD 0.0424 (HKD 0.3286) (2.49%) |
10 Jun 2020
|
15 Jul 2020
|
OrdinaryDividend |
USD 0.0424 (HKD 0.3286) (2.49%) |
[+]
[-]
5 Jun 2019
|
10 Jul 2019
|
Grouped |
USD 0.064 (HKD 0.5018) (3.98%) |
5 Jun 2019
|
10 Jul 2019
|
OrdinaryDividend |
USD 0.032 (HKD 0.2509) (1.99%) |
5 Jun 2019
|
10 Jul 2019
|
OrdinaryDividend |
USD 0.032 (HKD 0.2509) (1.99%) |
7 Jun 2018
|
11 Jul 2018
|
OrdinaryDividend |
USD 0.0249 (HKD 0.1954) (1.11%) |
3 Jul 2017
|
19 Jul 2017
|
OrdinaryDividend |
USD 0.0158 (HKD 0.1232) (1.33%) |
7 Jun 2016
|
6 Jul 2016
|
OrdinaryDividend |
USD 0.0229 (HKD 0.1779) (2.56%) |
1 Jun 2015
|
16 Jun 2015
|
OrdinaryDividend |
USD 0.0357 (HKD 0.2768) (1.68%) |
22 May 2014
|
9 Jul 2014
|
OrdinaryDividend |
USD 0.0365 (HKD 0.2829) (1.30%) |
13 Jun 2013
|
10 Jul 2013
|
OrdinaryDividend |
USD 0.0322 (HKD 0.2499) (1.26%) |
7 Jun 2012
|
25 Jul 2012
|
OrdinaryDividend |
USD 0.0375 (HKD 0.291) (1.53%) |
3 Jun 2011
|
13 Jul 2011
|
OrdinaryDividend |
USD 0.0427 (HKD 0.3321) (1.40%) |
4 Jun 2010
|
14 Jul 2010
|
OrdinaryDividend |
USD 0.0343 (HKD 0.2673) (1.54%) |
2 Jun 2009
|
22 Jul 2009
|
OrdinaryDividend |
USD 0.0233 (HKD 0.1806) (1.56%) |
27 May 2008
|
23 Jul 2008
|
OrdinaryDividend |
USD 0.0162 (HKD 0.1265) (1.21%) |
28 Feb 2008
|
14 Mar 2008
|
SpecialDividend |
USD 0.0107 (HKD 0.0833) (0.81%) |
4 Jun 2007
|
1 Aug 2007
|
OrdinaryDividend |
USD 0.0138 (HKD 0.1077) (1.23%) |
29 Jan 2007
|
14 Feb 2007
|
SpecialDividend |
USD 0.0107 (HKD 0.0836) (0.95%) |
5 Jun 2006
|
28 Jul 2006
|
OrdinaryDividend |
USD 0.0125 (HKD 0.097) (2.27%) |
13 Feb 2006
|
28 Feb 2006
|
SpecialDividend |
USD 0.0107 (HKD 0.083) (1.63%) |
6 Jun 2005
|
29 Jul 2005
|
OrdinaryDividend |
USD 0.0114 (HKD 0.0887) (4.08%) |
10 May 2004
|
31 May 2004
|
OrdinaryDividend |
USD 0.0113 (HKD 0.0881) (3.96%) |
10 Jun 2003
|
29 Aug 2003
|
OrdinaryDividend |
USD 0.0093 (HKD 0.0725) (4.71%) |
13 Jun 2002
|
30 Aug 2002
|
OrdinaryDividend |
USD 0.0081 (HKD 0.0632) (3.04%) |
10 May 2001
|
28 Jul 2001
|
OrdinaryDividend |
USD 0.0054 (HKD 0.0421) (3.83%) |