HYSAN DEVELOPMENT LTD(14) HKD 22.8
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20235.13%HKD 1.17HKD1.172023-03-02
20226.32%HKD 1.44HKD0.272022-09-02
HKD1.172022-03-09
20216.32%HKD 1.440.272021-08-24
1.172021-03-10
20206.32%HKD 1.440.272020-08-21
1.172020-03-04
20196.32%HKD 1.440.272019-08-26
1.172019-03-06
20186.05%HKD 1.380.272018-08-20
1.112018-03-13
20175.92%HKD 1.350.262017-08-17
1.092017-03-07
20165.83%HKD 1.330.262016-08-15
1.072016-03-21
20155.48%HKD 1.250.252015-08-18
12015-03-24
20145.18%HKD 1.180.232014-08-21
0.952014-03-20
20134.39%HKD 10.222013-08-16
0.782013-03-19
20123.55%HKD 0.810.172012-08-16
0.642012-05-16
20113.29%HKD 0.750.152011-08-19
0.62011-05-03
20102.98%HKD 0.680.142010-08-20
0.542010-05-05
20092.98%HKD 0.680.142009-08-21
0.542009-05-12
20082.72%HKD 0.620.142008-08-15
0.482008-05-07
20072.28%HKD 0.520.122007-08-28
0.42007-05-02
20061.97%HKD 0.450.12006-08-23
0.352006-05-02
20051.75%HKD 0.40.12005-08-24
0.32005-05-04
20041.60%HKD 0.3650.12004-09-02
0.2652004-05-05
20031.60%HKD 0.3650.12003-09-02
0.2652003-05-06
20021.67%HKD 0.380.12002-09-12
0.282002-05-08
20011.80%HKD 0.410.12001-09-17
0.312001-05-02
20001.80%HKD 0.410.112000-09-26
0.32000-05-02