138 Followers HKEX:5 - HSBC Holdings PLC HSBC Holdings PLC (HK Reg)
Sector: Financials, Industry: Diversified Banks
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Summary


ExDate Payable Date Type Amount (%)
7 Mar 2025 25 Apr 2025 Projected USD 0.31 (HKD 2.4277) (3.75%)
9 Nov 2024 21 Dec 2024 Projected USD 0.1 (HKD 0.7831) (1.21%)
10 Aug 2024 21 Sep 2024 Projected USD 0.1 (HKD 0.7831) (1.21%)
11 May 2024 23 Jun 2024 Projected USD 0.1 (HKD 0.7831) (1.21%)
7 Mar 2024 25 Apr 2024 OrdinaryDividend USD 0.31 (HKD 2.4245) (4.01%)
9 Nov 2023 21 Dec 2023 OrdinaryDividend USD 0.1 (HKD 0.782) (1.34%)
10 Aug 2023 21 Sep 2023 OrdinaryDividend USD 0.1 (HKD 0.7794) (1.22%)
11 May 2023 23 Jun 2023 OrdinaryDividend USD 0.1 (HKD 0.785) (1.32%)
2 Mar 2023 27 Apr 2023 OrdinaryDividend USD 0.23 (HKD 1.8042) (3.00%)
18 Aug 2022 29 Sep 2022 OrdinaryDividend USD 0.09 (HKD 0.7065) (1.36%)
10 Mar 2022 28 Apr 2022 OrdinaryDividend USD 0.18 (HKD 1.4044) (2.86%)
19 Aug 2021 30 Sep 2021 OrdinaryDividend USD 0.07 (HKD 0.5441) (1.26%)
11 Mar 2021 29 Apr 2021 OrdinaryDividend USD 0.15 (HKD 1.1631) (2.44%)
10 Oct 2019 20 Nov 2019 OrdinaryDividend USD 0.1 (HKD 0.7842) (1.35%)
15 Aug 2019 26 Sep 2019 OrdinaryDividend USD 0.1 (HKD 0.7833) (1.35%)
16 May 2019 5 Jul 2019 OrdinaryDividend USD 0.1 (HKD 0.7845) (1.18%)
21 Feb 2019 8 Apr 2019 OrdinaryDividend USD 0.21 (HKD 1.6482) (2.50%)
11 Oct 2018 21 Nov 2018 OrdinaryDividend USD 0.1 (HKD 0.7831) (1.15%)
16 Aug 2018 27 Sep 2018 OrdinaryDividend USD 0.1 (HKD 0.7849) (1.10%)
17 May 2018 5 Jul 2018 OrdinaryDividend USD 0.1 (HKD 0.785) (1.01%)
22 Feb 2018 6 Apr 2018 OrdinaryDividend USD 0.21 (HKD 1.6431) (2.01%)
12 Oct 2017 22 Nov 2017 OrdinaryDividend USD 0.1 (HKD 0.7808) (1.00%)
3 Aug 2017 20 Sep 2017 OrdinaryDividend USD 0.1 (HKD 0.7813) (0.99%)
18 May 2017 5 Jul 2017 OrdinaryDividend USD 0.1 (HKD 0.7798) (1.13%)
23 Feb 2017 6 Apr 2017 OrdinaryDividend USD 0.21 (HKD 1.631) (2.49%)
20 Oct 2016 6 Dec 2016 OrdinaryDividend USD 0.1 (HKD 0.7756) (1.31%)
11 Aug 2016 28 Sep 2016 OrdinaryDividend USD 0.1 (HKD 0.7758) (1.42%)
19 May 2016 6 Jul 2016 OrdinaryDividend USD 0.1 (HKD 0.7757) (1.60%)
3 Mar 2016 20 Apr 2016 OrdinaryDividend USD 0.21 (HKD 1.6287) (3.21%)
22 Oct 2015 3 Dec 2015 OrdinaryDividend USD 0.1 (HKD 0.775) (1.24%)
13 Aug 2015 2 Oct 2015 OrdinaryDividend USD 0.1 (HKD 0.775) (1.13%)
21 May 2015 8 Jul 2015 OrdinaryDividend USD 0.1 (HKD 0.7753) (1.04%)
5 Mar 2015 30 Apr 2015 OrdinaryDividend USD 0.2 (HKD 1.55) (2.22%)
23 Oct 2014 10 Dec 2014 OrdinaryDividend USD 0.1 (HKD 0.7755) (0.99%)
20 Aug 2014 9 Oct 2014 OrdinaryDividend USD 0.1 (HKD 0.7765) (0.93%)
21 May 2014 10 Jul 2014 OrdinaryDividend USD 0.1 (HKD 0.7752) (0.94%)
12 Mar 2014 30 Apr 2014 OrdinaryDividend USD 0.19 (HKD 1.473) (1.84%)
23 Oct 2013 11 Dec 2013 OrdinaryDividend USD 0.1 (HKD 0.7752) (0.91%)
21 Aug 2013 9 Oct 2013 OrdinaryDividend USD 0.1 (HKD 0.7755) (0.92%)
22 May 2013 11 Jul 2013 OrdinaryDividend USD 0.1 (HKD 0.7755) (0.86%)
20 Mar 2013 8 May 2013 OrdinaryDividend USD 0.18 (HKD 1.3973) (1.65%)
24 Oct 2012 12 Dec 2012 OrdinaryDividend USD 0.09 (HKD 0.6975) (0.92%)
15 Aug 2012 4 Oct 2012 OrdinaryDividend USD 0.09 (HKD 0.6977) (1.01%)
16 May 2012 5 Jul 2012 OrdinaryDividend USD 0.09 (HKD 0.6984) (1.02%)
14 Mar 2012 2 May 2012 OrdinaryDividend USD 0.14 (HKD 1.0865) (1.58%)
23 Nov 2011 18 Jan 2012 OrdinaryDividend USD 0.09 (HKD 0.7014) (1.20%)
17 Aug 2011 6 Oct 2011 OrdinaryDividend USD 0.09 (HKD 0.7013) (1.01%)
18 May 2011 6 Jul 2011 OrdinaryDividend USD 0.09 (HKD 0.6997) (0.86%)
16 Mar 2011 5 May 2011 OrdinaryDividend USD 0.12 (HKD 0.9355) (1.16%)
17 Nov 2010 12 Jan 2011 OrdinaryDividend USD 0.08 (HKD 0.6205) (0.74%)
18 Aug 2010 6 Oct 2010 None USD 0.08 (HKD 0.6217) (0.78%)
19 May 2010 7 Jul 2010 None USD 0.08 (HKD 0.6241) (0.84%)
17 Mar 2010 5 May 2010 None USD 0.1 (HKD 0.7762) (0.96%)
18 Nov 2009 13 Jan 2010 None USD 0.08 (HKD 0.62) (0.63%)
19 Aug 2009 7 Oct 2009 None USD 0.08 (HKD 0.6202) (0.74%)
20 May 2009 8 Jul 2009 None USD 0.08 (HKD 0.6202) (0.91%)
18 Mar 2009 6 May 2009 None USD 0.1 (HKD 0.7752) (1.88%)
19 Nov 2008 14 Jan 2009 None USD 0.18 (HKD 1.395) (1.77%)
20 Aug 2008 8 Oct 2008 None USD 0.18 (HKD 1.4058) (1.15%)
21 May 2008 9 Jul 2008 None USD 0.18 (HKD 1.4041) (1.04%)
19 Mar 2008 7 May 2008 None USD 0.39 (HKD 3.0318) (2.52%)
21 Nov 2007 16 Jan 2008 None USD 0.17 (HKD 1.3226) (0.98%)
15 Aug 2007 4 Oct 2007 None USD 0.17 (HKD 1.329) (0.94%)
16 May 2007 5 Jul 2007 OrdinaryDividend USD 0.17 (HKD 1.3291) (0.91%)
21 Mar 2007 10 May 2007 None USD 0.36 (HKD 2.8119) (2.08%)
22 Nov 2006 18 Jan 2007 OrdinaryDividend USD 0.15 (HKD 1.168) (0.80%)
16 Aug 2006 4 Oct 2006 OrdinaryDividend USD 0.15 (HKD 1.1667) (0.83%)
17 May 2006 6 Jul 2006 OrdinaryDividend USD 0.15 (HKD 1.1631) (0.84%)
22 Mar 2006 11 May 2006 OrdinaryDividend USD 0.31 (HKD 2.4056) (1.80%)
23 Nov 2005 19 Jan 2006 OrdinaryDividend USD 0.14 (HKD 1.0854) (0.86%)
17 Aug 2005 5 Oct 2005 OrdinaryDividend USD 0.14 (HKD 1.088) (0.84%)
18 May 2005 6 Jul 2005 OrdinaryDividend USD 0.14 (HKD 1.0915) (0.88%)
16 Mar 2005 4 May 2005 OrdinaryDividend USD 0.27 (HKD 2.1059) (1.65%)
24 Nov 2004 20 Jan 2005 OrdinaryDividend USD 0.13 (HKD 1.0105) (0.75%)
18 Aug 2004 6 Oct 2004 OrdinaryDividend USD 0.13 (HKD 1.014) (0.86%)
19 May 2004 7 Jul 2004 OrdinaryDividend USD 0.13 (HKD 1.0115) (0.92%)
17 Mar 2004 5 May 2004 OrdinaryDividend USD 0.24 (HKD 1.8699) (1.56%)
26 Nov 2003 20 Jan 2004 OrdinaryDividend USD 0.12 (HKD 0.9321) (0.79%)
20 Aug 2003 7 Oct 2003 OrdinaryDividend USD 0.24 (HKD 1.8716) (1.84%)
19 Mar 2003 6 May 2003 OrdinaryDividend USD 0.325 (HKD 2.5347) (3.01%)
21 Aug 2002 9 Oct 2002 OrdinaryDividend USD 0.205 (HKD 1.599) (1.74%)
20 Mar 2002 7 May 2002 OrdinaryDividend USD 0.29 (HKD 2.2619) (2.41%)
22 Aug 2001 9 Oct 2001 OrdinaryDividend USD 0.19 (HKD 1.482) (1.59%)
14 Mar 2001 2 May 2001 OrdinaryDividend USD 0.285 (HKD 2.2229) (2.25%)
14 Aug 2000 5 Oct 2000 OrdinaryDividend USD 0.15 (HKD 1.1702) (1.07%)

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