Aeon Credit Service Asia Co Ltd(0900) HKD 5.3
Dividend Yield(TTM) =4.15%
Year Yield Total Amount Ex Date
20234.15%HKD 0.22HKD0.222023-07-04
20228.30%HKD 0.44HKD0.222022-10-11
HKD0.222022-06-29
20217.55%HKD 0.4HKD0.222021-10-12
HKD0.182021-06-30
20208.30%HKD 0.44HKD0.222020-10-13
HKD0.222020-06-29
20198.30%HKD 0.44HKD0.222019-10-15
HKD0.222019-06-25
20188.30%HKD 0.44HKD0.222018-10-11
HKD0.222018-06-25
20177.55%HKD 0.4HKD0.22017-10-13
HKD0.22017-06-27
20166.79%HKD 0.36HKD0.182016-10-14
HKD0.182016-06-29
20156.79%HKD 0.36HKD0.182015-10-14
HKD0.182015-07-02
20146.79%HKD 0.36HKD0.182014-10-08
HKD0.182014-06-19
20136.60%HKD 0.35HKD0.172013-10-09
HKD0.182013-06-20
20126.60%HKD 0.35HKD0.172012-10-09
HKD0.182012-06-19
20116.04%HKD 0.32HKD0.162011-10-06
HKD0.162011-06-09
20106.04%HKD 0.32HKD0.162010-10-08
HKD0.162010-06-10
20096.04%HKD 0.32HKD0.162009-10-07
HKD0.162009-06-11
20085.85%HKD 0.31HKD0.162008-10-13
HKD0.152008-06-12
20074.25%HKD 0.225HKD0.12007-09-28
HKD0.1252007-06-07
20063.77%HKD 0.2HKD0.0852006-09-29
HKD0.1152006-06-06
20053.21%HKD 0.17HKD0.0652005-10-05
HKD0.1052005-06-08
20042.74%HKD 0.145HKD0.0552004-10-05
HKD0.092004-06-09
20032.45%HKD 0.13HKD0.052003-10-08
HKD0.082003-06-11
20022.45%HKD 0.13HKD0.052002-10-09
HKD0.082002-06-12
20012.45%HKD 0.13HKD0.052001-10-30
HKD0.082001-06-11
20002.26%HKD 0.12HKD0.0452000-11-06
HKD0.0752000-06-06