Goldpac Group Ltd(3315) HKD 1.63
Dividend Yield(TTM) =7.36%
Year Yield Total Amount Ex Date
20237.36%HKD 0.12HKD0.122023-05-30
20226.13%HKD 0.1HKD0.12022-06-01
20217.67%HKD 0.125HKD0.0252021-09-02
HKD0.12021-06-03
20207.98%HKD 0.13HKD0.032020-08-31
HKD0.12020-06-04
20198.59%HKD 0.14HKD0.042019-08-30
HKD0.12019-06-05
20188.59%HKD 0.14HKD0.042018-08-30
HKD0.12018-05-31
20176.75%HKD 0.11HKD0.042017-08-30
HKD0.072017-06-01
20169.20%HKD 0.15HKD0.042016-08-29
HKD0.112016-06-02
20156.13%HKD 0.1HKD0.12015-05-28
20142.94%HKD 0.048HKD0.0482014-06-03