K Wah International Holdings Ltd(0173) HKD 2.93
Dividend Yield(TTM) =7.17%
Year Yield Total Amount Ex Date
20227.17%HKD 0.21HKD0.072022-09-09
HKD0.142022-06-15
20217.17%HKD 0.21HKD0.072021-09-10
HKD0.142021-06-16
20207.17%HKD 0.21HKD0.072020-09-10
HKD0.142020-06-10
20196.83%HKD 0.2HKD0.062019-09-11
HKD0.142019-06-12
20186.48%HKD 0.19HKD0.062018-09-11
HKD0.132018-06-12
20176.14%HKD 0.18HKD0.052017-09-12
HKD0.132017-06-13
20165.80%HKD 0.17HKD0.052016-09-12
HKD0.122016-06-03
20155.12%HKD 0.15HKD0.052015-09-14
HKD0.12015-06-15
20145.12%HKD 0.15HKD0.052014-09-12
HKD0.12014-06-18
20135.12%HKD 0.15HKD0.052013-09-13
HKD0.12013-06-11
20124.44%HKD 0.13HKD0.052012-09-27
HKD0.082012-06-04
20111.02%HKD 0.03HKD0.022011-09-29
HKD0.012011-06-10
20103.75%HKD 0.11HKD0.012010-09-29
HKD0.12010-06-10
20090.68%HKD 0.02HKD0.012009-09-30
HKD0.012009-05-25
20089.90%HKD 0.29HKD0.012008-10-02
HKD0.032008-05-19
HKD0.252008-01-03
20071.71%HKD 0.05HKD0.0252007-10-04
HKD0.0252007-06-01
20060.68%HKD 0.02HKD0.012006-10-05
HKD0.012006-05-19
20051.45%HKD 0.043HKD0.012005-10-12
HKD0.032512005-04-20
20041.11%HKD 0.033HKD0.016262004-09-23
HKD0.016262004-05-20
20030.83%HKD 0.024HKD0.008132003-10-02
HKD0.016262003-05-15
20020.83%HKD 0.024HKD0.008132002-10-03
HKD0.016262002-05-22
20010.83%HKD 0.024HKD0.008132001-10-04
HKD0.016262001-05-23
20000.83%HKD 0.024HKD0.008132000-10-04
HKD0.016262000-06-15