Fujikon Industrial Holdings Ltd(0927) HKD 0.73
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20226.85%HKD 0.05HKD0.022022-12-07
HKD0.032022-08-16
20215.48%HKD 0.04HKD0.012021-12-06
HKD0.032021-08-17
20206.85%HKD 0.05HKD0.022020-12-07
HKD0.032020-08-03
20199.59%HKD 0.07HKD0.022019-12-05
HKD0.052019-08-01
201812.33%HKD 0.09HKD0.042018-12-06
HKD0.052018-08-14
201712.33%HKD 0.09HKD0.042017-12-07
HKD0.052017-08-15
20168.22%HKD 0.06HKD0.012016-12-08
HKD0.052016-08-09
20159.59%HKD 0.07HKD0.022015-12-10
HKD0.052015-08-19
201412.33%HKD 0.09HKD0.042014-12-11
HKD0.052014-08-11
201312.33%HKD 0.09HKD0.042013-12-12
HKD0.052013-08-20
201210.96%HKD 0.08HKD0.032012-12-10
HKD0.052012-08-07
201110.96%HKD 0.08HKD0.032011-12-08
HKD0.052011-08-09
20108.22%HKD 0.06HKD0.012010-12-09
HKD0.052010-08-02
200910.96%HKD 0.08HKD0.032009-12-10
HKD0.052009-08-03
200810.96%HKD 0.08HKD0.032008-12-11
HKD0.052008-07-29
20079.59%HKD 0.07HKD0.032007-12-13
HKD0.042007-08-27
200610.96%HKD 0.08HKD0.032006-12-08
HKD0.052006-08-04
200511.64%HKD 0.085HKD0.032005-12-14
HKD0.0552005-07-22
20049.59%HKD 0.07HKD0.0252004-12-14
HKD0.0452004-07-29
20039.59%HKD 0.07HKD0.0252003-12-10
HKD0.0452003-08-11
20029.59%HKD 0.07HKD0.0252002-12-19
HKD0.0452002-08-14
20019.59%HKD 0.07HKD0.0252001-12-27
HKD0.0452001-08-10
20003.42%HKD 0.025HKD0.0252000-12-29