Giordano International Ltd(0709) HKD 2.43
Dividend Yield(TTM) =6.17%
Year Yield Total Amount Ex Date
20236.17%HKD 0.15HKD0.152023-05-25
20227.61%HKD 0.185HKD0.0852022-09-20
HKD0.12022-05-27
20215.51%HKD 0.134HKD0.0652021-09-03
HKD0.0692021-05-28
20203.09%HKD 0.075HKD0.0312020-09-04
HKD0.0442020-05-29
201910.99%HKD 0.267HKD0.1022019-09-06
HKD0.1652019-05-31
201815.23%HKD 0.37HKD0.172018-09-07
HKD0.22018-06-04
201712.35%HKD 0.3HKD0.152017-09-08
HKD0.152017-06-01
201611.11%HKD 0.27HKD0.1252016-09-08
HKD0.1452016-06-02
201511.11%HKD 0.27HKD0.1252015-09-10
HKD0.1452015-05-28
201414.20%HKD 0.345HKD0.1052014-09-11
HKD0.242014-05-20
201316.87%HKD 0.41HKD0.162013-09-12
HKD0.252013-06-18
201215.64%HKD 0.38HKD0.152012-09-13
HKD0.232012-05-24
20119.05%HKD 0.22HKD0.152011-09-15
HKD0.072011-06-02
20104.73%HKD 0.115HKD0.0452010-09-09
HKD0.072010-06-03
20092.06%HKD 0.05HKD0.022009-09-10
HKD0.032009-05-27
20083.91%HKD 0.095HKD0.0452008-09-11
HKD0.052008-05-07
20073.91%HKD 0.095HKD0.0452007-09-06
HKD0.052007-05-03
20062.88%HKD 0.07HKD0.022006-09-07
HKD0.052006-05-02
20053.70%HKD 0.09HKD0.0452005-09-07
HKD0.0452005-04-22
20043.50%HKD 0.085HKD0.042004-08-30
HKD0.0452004-04-22
20032.47%HKD 0.06HKD0.0152003-08-28
HKD0.0452003-04-16
20023.91%HKD 0.095HKD0.0452002-08-29
HKD0.052002-04-18
20014.32%HKD 0.105HKD0.0452001-08-30
HKD0.062001-04-19
20005.76%HKD 0.14HKD0.0852000-08-31
HKD0.0552000-04-17