NWS Holdings Ltd(0659) HKD 6.78
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20234.42%HKD 0.3HKD0.32023-03-20
20229.00%HKD 0.61HKD0.312022-11-23
HKD0.32022-03-21
20218.70%HKD 0.59HKD0.32021-11-24
HKD0.292021-03-22
20208.55%HKD 0.58HKD0.292020-11-27
HKD0.292020-03-23
20198.55%HKD 0.58HKD0.292019-11-20
HKD0.292019-03-21
201811.50%HKD 0.78HKD0.462018-11-21
HKD0.322018-03-21
201710.77%HKD 0.73HKD0.392017-11-21
HKD0.342017-03-10
20169.59%HKD 0.65HKD0.342016-11-23
HKD0.312016-03-16
20158.85%HKD 0.6HKD0.332015-11-19
HKD0.272015-03-18
20148.55%HKD 0.58HKD0.222014-11-20
HKD0.362014-03-17
20138.11%HKD 0.55HKD0.262013-11-20
HKD0.292013-03-14
201211.06%HKD 0.75HKD0.252012-11-22
HKD0.52012-03-15
201110.32%HKD 0.7HKD0.332011-11-23
HKD0.372011-03-18
201010.96%HKD 0.743HKD0.332010-11-16
HKD0.413332010-04-01
20096.10%HKD 0.413HKD0.282009-12-01
HKD0.133332009-04-06
20089.34%HKD 0.633HKD0.266672008-11-24
HKD0.366672008-04-07
20075.41%HKD 0.367HKD0.22007-11-19
HKD0.166672007-04-03
20064.33%HKD 0.293HKD0.133332006-11-14
HKD0.162006-03-30
20057.87%HKD 0.533HKD0.413332005-11-22
HKD0.122005-04-04
20043.93%HKD 0.267HKD0.166672004-11-29
HKD0.12004-04-08
20031.97%HKD 0.133HKD0.133332003-11-21
20021.97%HKD 0.133HKD0.133332002-04-11