Power Assets(0006) HKD 44.65
Dividend Yield(TTM) =6.32%
Year Yield Total Amount Ex Date
20226.32%HKD 2.82HKD0.782022-09-01
HKD2.042022-05-23
20216.32%HKD 2.82HKD0.782021-09-02
HKD2.042021-05-17
20206.27%HKD 2.8HKD0.772020-09-03
HKD2.032020-05-18
20196.27%HKD 2.8HKD0.772019-08-29
HKD2.032019-05-20
201819.71%HKD 8.8HKD0.772018-08-24
HKD2.032018-05-14
HKD62018-04-03
201717.45%HKD 7.79HKD0.772017-08-18
HKD2.022017-05-15
HKD52017-02-14
20166.09%HKD 2.72HKD0.72016-08-26
HKD2.022016-05-17
20156.02%HKD 2.69HKD0.682015-08-21
HKD2.012015-05-19
20145.76%HKD 2.57HKD0.672014-08-25
HKD1.92014-05-20
20135.55%HKD 2.48HKD0.652013-08-23
HKD1.832013-05-22
20125.20%HKD 2.32HKD0.622012-08-17
HKD1.72012-05-25
20114.73%HKD 2.11HKD0.622011-08-25
HKD1.492011-05-06
20104.73%HKD 2.11HKD0.622010-08-26
HKD1.492010-04-27
20094.73%HKD 2.11HKD0.622009-09-03
HKD1.492009-05-05
20084.59%HKD 2.05HKD0.622008-09-09
HKD1.432008-05-06
20074.14%HKD 1.85HKD0.582007-09-10
HKD1.272007-04-30
20063.56%HKD 1.59HKD0.582006-09-12
HKD1.012006-05-02
20053.96%HKD 1.77HKD0.582005-09-13
HKD1.192005-05-03
20043.83%HKD 1.71HKD0.582004-09-14
HKD1.132004-05-04
20033.83%HKD 1.71HKD0.582003-09-16
HKD1.132003-05-06
20023.70%HKD 1.65HKD0.582002-09-17
HKD1.072002-04-29
20013.44%HKD 1.535HKD0.562001-09-19
HKD0.9752001-04-27
20003.34%HKD 1.49HKD0.542000-09-20
HKD0.952000-04-28