SHUN TAK HOLDINGS LTD(242) HKD 1.47
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202012.24%HKD 0.180.182020-06-30
20196.80%HKD 0.10.12019-06-28
20184.08%HKD 0.060.062018-07-04
20174.08%HKD 0.060.062017-09-14
20161.36%HKD 0.020.022016-06-10
20151.36%HKD 0.02HKD0.022015-06-24
20143.40%HKD 0.050.052014-09-15
20135.78%HKD 0.0850.0852013-06-11
20122.72%HKD 0.040.042012-06-08
20113.60%HKD 0.0530.052952011-06-03
201011.23%HKD 0.1650.165022010-06-01
20093.06%HKD 0.0450.033532009-09-30
0.011472009-05-19
20084.20%HKD 0.0620.061772008-06-12
20079.00%HKD 0.1320.061772007-09-27
0.07062007-06-07
20065.40%HKD 0.0790.039712006-09-25
0.039712006-06-06
20055.40%HKD 0.0790.022062005-10-03
0.057362005-06-07
20044.80%HKD 0.0710.039712004-10-04
0.030892004-05-27
20033.00%HKD 0.0440.013242003-10-06
0.030892003-06-03
20023.90%HKD 0.0570.030892002-10-11
0.026472002-05-24
20012.76%HKD 0.0410.016222001-10-08
0.024332001-06-06
20003.86%HKD 0.0570.016222000-10-09
0.040552000-05-12