Vedan International Holdings Ltd(2317) HKD 0.58
Dividend Yield(TTM) =2.18%
Year Yield Total Amount Ex Date
20222.18%HKD 0.013HKD0.012672022-05-26
20219.80%HKD 0.057HKD0.021112021-09-15
HKD0.035742021-05-21
20205.43%HKD 0.032HKD0.014982020-09-16
HKD0.016522020-05-21
20198.96%HKD 0.052HKD0.031262019-09-18
HKD0.020722019-05-23
201810.01%HKD 0.058HKD0.02332018-09-10
HKD0.034772018-05-25
201715.32%HKD 0.089HKD0.023932017-09-25
HKD0.064912017-05-25
201612.55%HKD 0.073HKD0.049512016-09-26
HKD0.023292016-05-26
20152.34%HKD 0.014HKD0.013562015-09-25
20133.29%HKD 0.019HKD0.007822013-09-23
HKD0.011242013-05-24
20126.07%HKD 0.035HKD0.011132012-09-17
HKD0.024052012-05-25
20113.22%HKD 0.019HKD0.018682011-05-27
20104.26%HKD 0.025HKD0.024682010-05-28
20093.65%HKD 0.021HKD0.021162009-09-30
20088.00%HKD 0.046HKD0.02372008-10-02
HKD0.022712008-05-30
20075.63%HKD 0.033HKD0.020322007-10-11
HKD0.012352007-05-18
20064.18%HKD 0.024HKD0.015582006-10-04
HKD0.008682006-05-12
20058.78%HKD 0.051HKD0.015592005-10-05
HKD0.035332005-05-12
200414.27%HKD 0.083HKD0.039462004-10-05
HKD0.043292004-05-14
20034.27%HKD 0.025HKD0.024762003-10-03