AEON Stores (Hong Kong) Co. Ltd.(984) HKD 0.87
Dividend Yield(TTM) =2.30%
Year Yield Total Amount Ex Date
20232.30%HKD 0.02HKD0.022023-06-06
20225.75%HKD 0.05HKD0.032022-10-03
HKD0.022022-06-07
20219.20%HKD 0.08HKD0.032021-10-05
HKD0.052021-06-01
202011.49%HKD 0.1HKD0.052020-10-06
HKD0.052020-06-02
201950.57%HKD 0.44HKD0.222019-10-08
HKD0.222019-06-03
201850.57%HKD 0.44HKD0.222018-10-09
HKD0.222018-06-05
201745.98%HKD 0.4HKD0.22017-09-22
HKD0.22017-06-05
201631.95%HKD 0.278HKD0.22016-09-23
HKD0.0782016-05-24
201541.72%HKD 0.363HKD0.1012015-09-24
HKD0.2622015-05-26
201424.14%HKD 0.21HKD0.0812014-09-25
HKD0.1292014-05-28
201311.15%HKD 0.097HKD0.0972013-05-29
201260.23%HKD 0.524HKD0.1652012-10-08
HKD0.3592012-05-30
201165.63%HKD 0.571HKD0.2552011-10-07
HKD0.3162011-05-23
201051.38%HKD 0.447HKD0.2212010-10-11
HKD0.2262010-05-13
200943.10%HKD 0.375HKD0.0962009-10-13
HKD0.2792009-05-15
200852.07%HKD 0.453HKD0.1932008-10-09
HKD0.262008-05-16
200729.31%HKD 0.255HKD0.082007-10-08
HKD0.1752007-05-16
200616.09%HKD 0.14HKD0.142006-05-12
200516.09%HKD 0.14HKD0.0552005-10-07
HKD0.0852005-04-28
200419.54%HKD 0.17HKD0.042004-11-12
HKD0.132004-06-10
200311.49%HKD 0.1HKD0.012003-11-24
HKD0.092003-06-12
200210.92%HKD 0.095HKD0.0952002-06-13
200117.24%HKD 0.15HKD0.022001-11-16
HKD0.132001-06-15
200019.54%HKD 0.17HKD0.132000-11-17
HKD0.042000-06-07