JOHNSON ELECTRIC HOLDINGS LTD(179) HKD 9.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.77%HKD 0.34HKD0.172022-11-30
HKD0.172022-07-19
20215.66%HKD 0.51HKD0.172021-11-26
0.342021-07-19
20201.89%HKD 0.170.172020-11-26
20195.66%HKD 0.510.172019-11-21
0.342019-07-16
20185.66%HKD 0.510.172018-11-22
0.342018-07-27
20175.66%HKD 0.510.172017-12-18
0.342017-07-27
20165.55%HKD 0.50.162016-12-19
0.342016-07-28
20155.44%HKD 0.490.152015-12-21
0.342015-07-16
20142.50%HKD 0.2250.142014-12-17
0.0852014-07-17
20134.86%HKD 0.4370.117832013-11-20
0.319622013-07-17
20124.41%HKD 0.3970.11782012-12-19
0.279262012-07-13
20113.98%HKD 0.3580.118312011-12-15
0.239932011-07-11
20103.56%HKD 0.320.121342010-12-23
0.199022010-07-21
20084.33%HKD 0.390.389952008-07-17
20075.78%HKD 0.5210.181012007-12-20
HKD0.342007-07-23
20065.76%HKD 0.5190.180382006-12-21
0.339042006-07-13
20056.88%HKD 0.62HKD0.182005-12-22
HKD0.442005-07-20
20045.99%HKD 0.5390.180532004-12-22
0.358792004-07-14
20035.99%HKD 0.540.180112003-12-23
0.362003-07-15
20025.02%HKD 0.4520.162002-12-23
0.2922002-07-23
20014.57%HKD 0.4120.122001-12-27
0.2922001-07-19
20004.50%HKD 0.4050.122000-12-28
0.2852000-08-04