Dah Sing Financial Holdings Ltd(0440) HKD 20.2
Dividend Yield(TTM) =4.01%
Year Yield Total Amount Ex Date
20234.01%HKD 0.81HKD0.812023-06-07
20225.25%HKD 1.06HKD0.332022-09-08
HKD0.732022-06-01
20214.95%HKD 1HKD0.332021-09-09
HKD0.672021-06-07
20206.68%HKD 1.35HKD0.272020-09-09
HKD1.082020-06-03
20197.33%HKD 1.48HKD0.392019-09-10
HKD1.092019-05-29
20186.98%HKD 1.41HKD0.382018-09-11
HKD1.032018-06-01
201739.36%HKD 7.95HKD0.322017-09-12
HKD6.62017-07-13
HKD1.032017-06-02
20166.39%HKD 1.29HKD0.292016-09-09
HKD12016-06-03
20156.29%HKD 1.27HKD0.322015-09-10
HKD0.952015-06-03
20145.99%HKD 1.21HKD0.32014-09-11
HKD0.912014-06-03
20135.70%HKD 1.15HKD0.29722013-09-12
HKD0.853252013-05-30
20125.08%HKD 1.026HKD0.278032012-09-13
HKD0.747792012-05-29
20115.46%HKD 1.103HKD0.278032011-09-08
HKD0.824492011-05-18
20100.91%HKD 0.184HKD0.183532010-09-09
20086.50%HKD 1.312HKD0.623992008-09-05
HKD0.688222008-06-06
200710.68%HKD 2.156HKD0.688222007-09-20
HKD1.46822007-05-11
20069.59%HKD 1.936HKD0.688222006-09-21
HKD1.247972006-05-11
20059.18%HKD 1.854HKD0.660692005-09-08
HKD1.192912005-04-20
200410.86%HKD 2.193HKD0.715752004-08-26
HKD0.73412004-07-23
HKD0.743282004-03-18
20035.09%HKD 1.028HKD0.477172003-08-21
HKD0.550582003-03-20
20025.09%HKD 1.028HKD0.477172002-08-22
HKD0.550582002-03-20
20015.36%HKD 1.083HKD0.477172001-08-23
HKD0.605632001-03-22
20004.18%HKD 0.844HKD0.38542000-08-24
HKD0.458812000-03-23