Truly International Holdings Ltd(0732) HKD 1.49
Dividend Yield(TTM) =6.71%
Year Yield Total Amount Ex Date
20226.71%HKD 0.1HKD0.052022-09-16
HKD0.052022-05-30
20213.36%HKD 0.05HKD0.052021-09-13
20172.01%HKD 0.03HKD0.012017-06-13
HKD0.022017-05-24
20166.71%HKD 0.1HKD0.022016-12-06
HKD0.032016-09-01
HKD0.022016-06-03
HKD0.032016-05-25
20158.05%HKD 0.12HKD0.022015-12-04
HKD0.032015-08-26
HKD0.022015-06-04
HKD0.052015-05-26
201414.77%HKD 0.22HKD0.032014-12-01
HKD0.052014-09-04
HKD0.022014-06-04
HKD0.122014-05-23
20139.06%HKD 0.135HKD0.022013-12-20
HKD0.032013-09-04
HKD0.022013-06-05
HKD0.052013-05-23
HKD0.0152013-01-22
20124.03%HKD 0.06HKD0.022012-10-22
HKD0.0152012-06-13
HKD0.0252012-05-24
20113.76%HKD 0.056HKD0.012011-12-14
HKD0.012011-10-12
HKD0.012011-06-14
HKD0.012011-05-24
HKD0.0162011-01-13
20102.93%HKD 0.044HKD0.016362010-09-13
HKD0.009092010-06-21
HKD0.018182010-05-25
20092.20%HKD 0.033HKD0.009092009-12-10
HKD0.018182009-10-08
HKD0.003642009-06-03
HKD0.001822009-05-07
20086.71%HKD 0.1HKD0.045452008-10-02
HKD0.054552008-04-30
20076.10%HKD 0.091HKD0.045452007-10-04
HKD0.045452007-04-19
20068.54%HKD 0.127HKD0.042006-11-03
HKD0.041822006-10-05
HKD0.045452006-04-20
20055.61%HKD 0.084HKD0.041822005-09-29
HKD0.041822005-04-28
20043.54%HKD 0.053HKD0.030912004-10-07
HKD0.021822004-04-29
20031.71%HKD 0.025HKD0.012732003-10-09
HKD0.012732003-05-12
20021.10%HKD 0.016HKD0.009092002-10-09
HKD0.007272002-05-09
20017.93%HKD 0.118HKD0.042001-10-05
HKD0.007272001-10-04
HKD0.062001-05-11
HKD0.010912001-05-10
20000.98%HKD 0.015HKD0.007272000-11-02
HKD0.007272000-05-15