Morningstar Aandelenrapport

中國金茂控股集團有限公司 00817

Historische dividenden
Declaratie datumEx-DatumBetaaldatumTypeValutaBedrag
29/08/202318/09/202331/10/2023Contant dividendHKD0,02
28/03/202330/06/202331/08/2023Contant dividendHKD0,02
30/08/202214/10/202224/11/2022Contant dividendHKD0,09
24/08/202108/10/202129/10/2021Contant dividendHKD0,12
23/03/202110/06/202131/08/2021Contant dividendHKD0,14
25/08/202014/10/202030/10/2020Contant dividendHKD0,12
25/03/202012/06/202031/08/2020Contant dividendHKD0,11
28/08/201904/10/201931/10/2019Contant dividendHKD0,12
19/03/201911/06/201931/08/2019Contant dividendHKD0,10
28/08/201827/09/201831/10/2018Contant dividendHKD0,12
27/03/201808/06/201831/08/2018Contant dividendHKD0,18
08/08/201714/12/201729/12/2017Speciaal contant dividendHKD0,08
28/03/201709/06/201731/08/2017Contant dividendHKD0,09
22/03/201606/06/201615/07/2016Contant dividendHKD0,08
26/03/201513/07/201529/07/2015Contant dividendHKD0,12
26/02/201413/06/201418/07/2014Contant dividendHKD0,10
25/03/201317/06/201319/08/2013Contant dividendHKD0,07
21/03/201218/06/201217/08/2012Contant dividendHKD0,04
17/03/201109/06/201117/08/2011Contant dividendHKD0,03
25/03/201017/06/201017/08/2010Contant dividendHKD0,03
23/04/200910/06/200917/08/2009Contant dividendHKD0,02
02/05/200811/06/2008-Contant dividendHKD0,02