SINGAMAS CONTAINER HOLDINGS LTD(716) HKD 0.63
Dividend Yield(TTM) =3.17%
Year Yield Total Amount Ex Date
20233.17%HKD 0.02HKD0.022023-07-03
202255.56%HKD 0.35HKD0.042022-09-09
HKD0.112022-07-06
HKD0.22022-01-12
202111.11%HKD 0.070.072021-09-13
202020.63%HKD 0.130.132020-07-03
201911.11%HKD 0.070.072019-07-08
20183.97%HKD 0.0250.0252018-07-09
20172.38%HKD 0.0150.0152017-10-16
20154.76%HKD 0.030.0152015-10-12
0.0152015-06-15
20143.97%HKD 0.0250.0152014-10-13
0.012014-06-12
20137.94%HKD 0.050.032013-10-11
0.022013-05-31
201214.29%HKD 0.090.042012-10-16
0.052012-06-08
201126.98%HKD 0.170.092011-09-19
0.082011-05-23
200810.93%HKD 0.0690.030622008-10-16
0.038272008-05-30
200710.93%HKD 0.0690.045932007-10-17
0.022962007-05-25
200615.80%HKD 0.10.030622006-10-18
0.068892006-05-11
200525.51%HKD 0.1610.068892005-10-19
0.091852005-05-11
200412.15%HKD 0.0770.030622004-10-18
0.045932004-05-11
200310.93%HKD 0.0690.022962003-09-18
0.045932003-04-15
20022.43%HKD 0.0150.015312002-06-04