5 Sep 2025 |
25 Sep 2025 |
Projected |
USD 0.087 (HKD 0.678) (0.56%) |
5 Jun 2025 |
25 Jun 2025 |
Projected |
USD 0.099 (HKD 0.7715) (0.64%) |
13 Mar 2025 |
2 Apr 2025 |
Projected |
USD 0.21597 (HKD 1.683) (1.40%) |
30 Nov 2024 |
20 Dec 2024 |
Projected |
USD 0.099 (HKD 0.7715) (0.64%) |
5 Sep 2024
|
17 Sep 2024
|
OrdinaryDividend |
USD 0.087 (HKD 0.6784) (0.55%) |
5 Jun 2024
|
17 Jun 2024
|
OrdinaryDividend |
USD 0.099 (HKD 0.7726) (0.55%) |
13 Mar 2024
|
25 Mar 2024
|
OrdinaryDividend |
USD 0.21597 (HKD 1.6907) (0.99%) |
30 Nov 2023
|
12 Dec 2023
|
OrdinaryDividend |
USD 0.099 (HKD 0.7724) (0.44%) |
7 Sep 2023
|
19 Sep 2023
|
OrdinaryDividend |
USD 0.105 (HKD 0.8233) (0.52%) |
8 Jun 2023
|
21 Jun 2023
|
OrdinaryDividend |
USD 0.093 (HKD 0.7286) (0.51%) |
8 Mar 2023
|
21 Mar 2023
|
OrdinaryDividend |
USD 0.054 (HKD 0.4237) (0.31%) |
1 Dec 2022
|
13 Dec 2022
|
OrdinaryDividend |
USD 0.087 (HKD 0.6809) (0.62%) |
31 Aug 2022
|
13 Sep 2022
|
OrdinaryDividend |
USD 0.072 (HKD 0.5648) (0.41%) |
7 Jun 2022
|
20 Jun 2022
|
OrdinaryDividend |
USD 0.0644 (HKD 0.5055) (0.31%) |
10 Mar 2022
|
22 Mar 2022
|
OrdinaryDividend |
USD 0.081 (HKD 0.6324) (0.48%) |
30 Nov 2021
|
13 Dec 2021
|
OrdinaryDividend |
USD 0.045 (HKD 0.3504) (0.20%) |
13 Sep 2021
|
27 Sep 2021
|
OrdinaryDividend |
USD 0.048 (HKD 0.3734) (0.27%) |
2 Jun 2021
|
15 Jun 2021
|
OrdinaryDividend |
USD 0.06 (HKD 0.4659) (0.25%) |
11 Mar 2021
|
23 Mar 2021
|
OrdinaryDividend |
USD 0.012 (HKD 0.0931) (0.06%) |
3 Dec 2020
|
15 Dec 2020
|
OrdinaryDividend |
USD 0.039 (HKD 0.3024) (0.22%) |
27 Aug 2020
|
14 Sep 2020
|
OrdinaryDividend |
USD 0.0594 (HKD 0.4604) (0.28%) |
11 Jun 2020
|
23 Jun 2020
|
OrdinaryDividend |
USD 0.0464 (HKD 0.3596) (NA) |