HAITONG INTL SECURITIES GROUP LTD(665) HKD 0.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202127.67%HKD 0.188HKD0.081822021-09-07
HKD0.106362021-04-12
202011.63%HKD 0.079HKD0.042020-09-03
HKD0.039092020-04-07
201913.90%HKD 0.095HKD0.081822019-09-05
HKD0.012732019-04-04
201834.23%HKD 0.233HKD0.069092018-09-06
HKD0.163642018-03-27
201724.06%HKD 0.164HKD0.090912017-09-28
HKD0.072732017-07-04
201615.37%HKD 0.105HKD0.068182016-09-09
HKD0.036362016-05-03
201535.61%HKD 0.242HKD0.181822015-09-11
HKD0.060362015-06-10
201416.71%HKD 0.114HKD0.048022014-08-26
HKD0.065632014-04-17
201311.41%HKD 0.078HKD0.047732013-09-09
HKD0.029832013-04-23
20127.66%HKD 0.052HKD0.041672012-09-03
HKD0.010422012-05-02
201110.72%HKD 0.073HKD0.031252011-09-12
HKD0.041672011-04-19
201012.25%HKD 0.083HKD0.031252010-09-17
HKD0.052082010-04-08
20096.13%HKD 0.042HKD0.041672009-11-20
200822.98%HKD 0.156HKD0.026042008-10-06
HKD0.130212008-05-20
200715.32%HKD 0.104HKD0.067712007-10-04
HKD0.036462007-05-25
20067.66%HKD 0.052HKD0.036462006-10-12
HKD0.015622006-05-18
20053.06%HKD 0.021HKD0.010422005-10-10
HKD0.010422005-05-23
20044.60%HKD 0.031HKD0.020832004-10-07
HKD0.010422004-05-17
20032.30%HKD 0.016HKD0.010422003-12-30
HKD0.005212003-01-02
20020.77%HKD 0.005HKD0.005212002-01-03
20014.60%HKD 0.031HKD0.010422001-08-16
HKD0.020832001-01-04
20008.43%HKD 0.057HKD0.057292000-09-07