Water Oasis Group Ltd(1161) HKD 1.78
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20234.21%HKD 0.075HKD0.0752023-02-14
20229.27%HKD 0.165HKD0.1652022-03-22
20213.09%HKD 0.055HKD0.0552021-06-10
20207.30%HKD 0.13HKD0.062020-06-04
HKD0.072020-02-13
20197.58%HKD 0.135HKD0.082019-06-06
HKD0.0552019-02-26
20183.93%HKD 0.07HKD0.032018-06-21
HKD0.042018-02-13
20173.37%HKD 0.06HKD0.042017-06-13
HKD0.022017-02-21
20161.97%HKD 0.035HKD0.012016-06-13
HKD0.0252016-03-02
20155.06%HKD 0.09HKD0.042015-06-11
HKD0.052015-02-17
20141.40%HKD 0.025HKD0.012014-06-12
HKD0.0152014-02-26
20133.65%HKD 0.065HKD0.0252013-06-10
HKD0.042013-02-26
20127.02%HKD 0.125HKD0.0452012-06-11
HKD0.082012-02-28
20113.93%HKD 0.07HKD0.032011-06-15
HKD0.042011-01-31
20107.30%HKD 0.13HKD0.032010-07-05
HKD0.12010-03-10
20094.92%HKD 0.088HKD0.042009-07-06
HKD0.04752009-02-25
20084.49%HKD 0.08HKD0.042008-07-07
HKD0.042008-03-03
20072.25%HKD 0.04HKD0.022007-07-05
HKD0.022007-03-14
20061.40%HKD 0.025HKD0.012006-07-06
HKD0.0152006-03-08
20050.42%HKD 0.008HKD0.0052005-06-30
HKD0.00252005-03-03
20040.42%HKD 0.008HKD0.00252004-07-05
HKD0.0052004-02-24
20030.42%HKD 0.008HKD0.00252003-07-07
HKD0.0052003-03-03
20020.37%HKD 0.007HKD0.00652002-07-05