Vitasoy International Holdings Ltd(0345) HKD 14.9
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.09%HKD 0.013HKD0.0132022-12-02
20211.95%HKD 0.29HKD0.292021-08-27
20202.16%HKD 0.322HKD0.0382020-12-03
HKD0.2842020-08-24
20192.81%HKD 0.418HKD0.0382019-12-05
HKD0.382019-09-09
20182.36%HKD 0.352HKD0.0382018-12-06
HKD0.3142018-09-05
20172.07%HKD 0.309HKD0.0382017-12-12
HKD0.2712017-09-08
20162.03%HKD 0.303HKD0.0382016-12-13
HKD0.2652016-09-06
20151.68%HKD 0.25HKD0.0382015-12-11
HKD0.2122015-09-11
20141.36%HKD 0.202HKD0.0322014-12-12
HKD0.172014-09-08
20131.33%HKD 0.198HKD0.0322013-12-13
HKD0.1662013-09-10
20121.23%HKD 0.183HKD0.0322012-12-14
HKD0.1512012-08-31
20111.23%HKD 0.183HKD0.0322011-12-12
HKD0.1512011-08-25
20101.11%HKD 0.166HKD0.0322010-12-07
HKD0.1342010-08-24
20090.82%HKD 0.122HKD0.0322009-12-09
HKD0.092009-08-27
20080.77%HKD 0.115HKD0.0282008-12-11
HKD0.0872008-08-21
20070.64%HKD 0.095HKD0.0282007-12-12
HKD0.0672007-08-30
20060.64%HKD 0.095HKD0.0282006-12-20
HKD0.0672006-09-01
20050.57%HKD 0.085HKD0.0282005-12-28
HKD0.0572005-08-26
20040.57%HKD 0.085HKD0.0282004-12-28
HKD0.0572004-09-01
20030.57%HKD 0.085HKD0.0282003-12-23
HKD0.0572003-08-26
20020.53%HKD 0.079HKD0.0282002-12-19
HKD0.0512002-08-27
20010.53%HKD 0.079HKD0.0282001-12-17
HKD0.0512001-08-29
20000.64%HKD 0.095HKD0.0282000-12-08
HKD0.0672000-08-28