E. Bon Holdings Ltd.(599) HKD 0.19
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.26%HKD 0.01HKD0.012022-09-13
20215.26%HKD 0.01HKD0.0052021-12-08
HKD0.0052021-09-13
20205.26%HKD 0.01HKD0.0052020-12-09
HKD0.0052020-09-11
201913.16%HKD 0.025HKD0.012019-12-09
HKD0.0152019-09-16
201818.42%HKD 0.035HKD0.012018-12-12
HKD0.0252018-09-26
201718.42%HKD 0.035HKD0.012017-12-13
HKD0.0252017-09-15
201618.42%HKD 0.035HKD0.0152016-12-13
HKD0.022016-09-12
201557.89%HKD 0.11HKD0.032015-12-14
HKD0.082015-09-07
201421.05%HKD 0.04HKD0.022014-12-16
HKD0.022014-09-25
201347.37%HKD 0.09HKD0.012013-12-12
HKD0.052013-09-27
HKD0.022013-01-29
HKD0.012013-01-04
201121.05%HKD 0.04HKD0.012011-12-06
HKD0.032011-09-20
201021.05%HKD 0.04HKD0.012010-12-13
HKD0.032010-09-01
200923.68%HKD 0.045HKD0.022009-12-23
HKD0.0252009-09-01
200831.58%HKD 0.06HKD0.012008-12-18
HKD0.052008-08-29
200731.58%HKD 0.06HKD0.0252007-12-21
HKD0.0352007-09-05
200626.32%HKD 0.05HKD0.0252006-12-06
HKD0.0252006-08-22
200518.42%HKD 0.035HKD0.012005-11-29
HKD0.0252005-08-30
20015.26%HKD 0.01HKD0.012001-10-22
200021.05%HKD 0.04HKD0.032000-12-26
HKD0.012000-08-03