ExDate | Payable Date | Type | Amount (%) |
---|---|---|---|
15 Sep 2022 | 6 Oct 2022 | OrdinaryDividend | HKD 0.02 (1.90%) |
16 Sep 2019 | 17 Oct 2019 | OrdinaryDividend | HKD 0.056 (3.22%) |
30 Nov 2018 | 7 Jan 2019 | OrdinaryDividend | HKD 0.048 (2.59%) |
11 May 2018 | 11 Jun 2018 | OrdinaryDividend | HKD 0.073 (3.23%) |
14 Nov 2017 | 15 Dec 2017 | OrdinaryDividend | HKD 0.021 (0.90%) |
24 Jul 2017 | 1 Sep 2017 | OrdinaryDividend | HKD 0.0375 (1.25%) |
15 Nov 2016 | 23 Nov 2016 | OrdinaryDividend | HKD 0.015 (0.69%) |
29 Jul 2016 | 7 Sep 2016 | OrdinaryDividend | HKD 0.026 (1.21%) |
17 Nov 2015 | 26 Nov 2015 | OrdinaryDividend | HKD 0.015 (0.65%) |
28 Jul 2015 | 9 Sep 2015 | OrdinaryDividend | HKD 0.037 (1.32%) |
18 Nov 2014 | 27 Nov 2014 | OrdinaryDividend | HKD 0.012 (0.39%) |
28 Jul 2014 | 11 Sep 2014 | OrdinaryDividend | HKD 0.07 (2.28%) |
18 Nov 2013 | 27 Nov 2013 | OrdinaryDividend | HKD 0.022 (0.61%) |
25 Jul 2013 | 11 Sep 2013 | OrdinaryDividend | HKD 0.07 (1.79%) |
19 Nov 2012 | 9 Jan 2013 | OrdinaryDividend | HKD 0.01 (0.25%) |
26 Jul 2012 | 6 Aug 2012 | OrdinaryDividend | HKD 0.125 (2.40%) |
18 Nov 2011 | 10 Jan 2012 | OrdinaryDividend | HKD 0.027 (0.43%) |
18 Aug 2011 | 15 Sep 2011 | OrdinaryDividend | HKD 0.12 (1.62%) |
15 Nov 2010 | 11 Jan 2011 | OrdinaryDividend | HKD 0.027 (0.33%) |
18 Aug 2010 | 15 Sep 2010 | OrdinaryDividend | HKD 0.08 (1.28%) |
23 Nov 2009 | 11 Dec 2009 | OrdinaryDividend | HKD 0.02 (0.91%) |
19 Aug 2009 | 11 Sep 2009 | OrdinaryDividend | HKD 0.03 (1.44%) |
4 Dec 2008 | 15 Jan 2009 | OrdinaryDividend | HKD 0.02 (2.38%) |
21 Jul 2008 | 15 Aug 2008 | OrdinaryDividend | HKD 0.01 (1.19%) |