Miramar Hotel and Investment Co Ltd(0071) HKD 12.28
Dividend Yield(TTM) =3.83%
Year Yield Total Amount Ex Date
20223.83%HKD 0.47HKD0.212022-09-23
HKD0.262022-06-09
20213.91%HKD 0.48HKD0.22021-09-23
HKD0.282021-06-09
20204.56%HKD 0.56HKD0.222020-09-23
HKD0.342020-06-16
20194.97%HKD 0.61HKD0.242019-09-23
HKD0.372019-06-06
20184.89%HKD 0.6HKD0.242018-09-26
HKD0.362018-06-12
20174.64%HKD 0.57HKD0.232017-09-27
HKD0.342017-06-05
20164.40%HKD 0.54HKD0.22016-09-28
HKD0.342016-06-13
20154.23%HKD 0.52HKD0.22015-09-25
HKD0.322015-06-12
20143.58%HKD 0.44HKD0.172014-09-26
HKD0.272014-06-16
20133.42%HKD 0.42HKD0.172013-09-24
HKD0.252013-06-11
20123.18%HKD 0.39HKD0.162012-09-24
HKD0.232012-06-11
20113.01%HKD 0.37HKD0.152011-09-23
HKD0.222011-05-20
20102.04%HKD 0.25HKD0.152010-09-24
HKD0.12010-06-11
20093.66%HKD 0.45HKD0.132009-12-29
HKD0.172009-08-31
HKD0.152009-01-02
20081.95%HKD 0.24HKD0.242008-08-25
20073.18%HKD 0.39HKD0.152007-12-24
HKD0.242007-08-16
20063.18%HKD 0.39HKD0.152006-12-20
HKD0.242006-08-23
20053.01%HKD 0.37HKD0.152005-12-23
HKD0.222005-08-19
20042.85%HKD 0.35HKD0.152004-12-23
HKD0.22004-08-20
20033.75%HKD 0.46HKD0.132003-12-22
HKD0.22003-08-20
HKD0.132003-01-09
20021.63%HKD 0.2HKD0.22002-08-14
20012.61%HKD 0.32HKD0.132001-12-20
HKD0.192001-08-08
20002.36%HKD 0.29HKD0.132000-12-22
HKD0.162000-09-11