Associated International Hotels Ltd(0105) HKD 9.4
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.40%HKD 0.32HKD0.112022-12-12
HKD0.212022-09-14
20214.04%HKD 0.38HKD0.192021-12-13
HKD0.192021-09-13
20205.32%HKD 0.5HKD0.252020-12-14
HKD0.252020-09-14
201912.02%HKD 1.13HKD0.562019-12-12
HKD0.572019-09-12
201812.45%HKD 1.17HKD0.582018-12-13
HKD0.592018-09-14
201712.77%HKD 1.2HKD0.62017-12-13
HKD0.62017-09-14
201612.77%HKD 1.2HKD0.62016-12-14
HKD0.62016-09-12
201512.77%HKD 1.2HKD0.62015-12-15
HKD0.62015-09-10
201412.77%HKD 1.2HKD0.62014-12-15
HKD0.62014-09-05
201311.70%HKD 1.1HKD0.552013-12-16
HKD0.552013-09-05
201210.64%HKD 1HKD0.452012-12-17
HKD0.552012-09-07
20117.77%HKD 0.73HKD0.282011-12-13
HKD0.452011-09-20
20050.85%HKD 0.08HKD0.082005-09-07
20041.91%HKD 0.18HKD0.082004-12-21
HKD0.12004-09-16
20031.38%HKD 0.13HKD0.062003-12-19
HKD0.072003-09-18
20022.98%HKD 0.28HKD0.082002-12-19
HKD0.22002-09-10
20012.98%HKD 0.28HKD0.082001-12-28
HKD0.22001-09-10
20002.98%HKD 0.28HKD0.082000-12-28
HKD0.152000-09-11
HKD0.052000-01-05