|
12/2023 |
Final |
Cash Dividend: HKD 0.0199 |
2024/05/24-2024/05/28 |
2024-06-12 |
|
2024-05-22 |
|
|
12/2023 |
Interim |
Cash Dividend: HKD 0.021 |
2023/09/13-2023/09/14 |
2023-09-25 |
|
2023-09-11 |
|
|
12/2022 |
Final |
Cash Dividend: HKD 0.0176 |
2023/05/24-2023/05/29 |
2023-06-09 |
|
2023-05-22 |
|
|
12/2022 |
Interim |
Cash Dividend: HKD 0.0176 |
2022/09/13-2022/09/15 |
2022-09-23 |
|
2022-09-08 |
|
|
12/2021 |
Final |
Cash Dividend: HKD 0.015 |
2022/05/24-2022/05/26 |
2022-06-09 |
|
2022-05-20 |
|
|
12/2021 |
Interim |
Cash Dividend: HKD 0.012 |
2021/09/13-2021/09/15 |
2021-09-24 |
|
2021-09-09 |
|
|
12/2020 |
Final |
No Dividend |
- |
--- |
|
--- |
|
|
12/2020 |
Interim |
No Dividend |
- |
--- |
|
--- |
|
|
12/2019 |
Special Final |
Special Cash Dividend: HKD 0.0267 |
2020/04/14-2020/04/16 |
2020-04-24 |
|
2020-04-08 |
|
|
12/2019 |
Final |
Cash Dividend: HKD 0.0025 |
2020/06/19-2020/06/22 |
2020-07-06 |
|
2020-06-17 |
|
|
12/2019 |
Interim |
Cash Dividend: HKD 0.0065 |
2019/09/11-2019/09/13 |
2019-09-23 |
|
2019-09-09 |
|
|
12/2018 |
Final |
Cash Dividend: HKD 0.0063 |
2019/05/27-2019/05/28 |
2019-06-06 |
|
2019-05-23 |
|
|
12/2018 |
Interim |
Cash Dividend: HKD 0.0085 |
2018/09/07-2018/09/11 |
2018-09-19 |
|
2018-09-05 |
|
|
12/2017 |
Final |
Cash Dividend: HKD 0.010 |
2018/05/28-2018/05/29 |
2018-06-04 |
|
2018-05-24 |
|
|
12/2017 |
Interim |
Cash Dividend: HKD 0.0127 |
2017/09/12-2017/09/14 |
2017-09-21 |
|
2017-09-08 |
|
|
12/2016 |
Final |
Cash Dividend: HKD 0.0051 |
2017/05/25-2017/05/26 |
2017-06-02 |
|
2017-05-23 |
|
|
12/2016 |
Interim |
Cash Dividend: HKD 0.0037 |
2016/09/14-2016/09/19 |
2016-09-21 |
|
2016-09-12 |
|
|
12/2015 |
Final |
Cash Dividend: HKD 0.013 |
2016/05/25-2016/05/26 |
2016-06-01 |
|
2016-05-23 |
|
|
12/2015 |
Interim |
Cash Dividend: HKD 0.020 |
2015/09/09-2015/09/14 |
2015-09-21 |
|
2015-09-07 |
|
|
12/2014 |
Final |
Cash Dividend: HKD 0.027 |
2015/05/28-2015/05/29 |
2015-06-04 |
|
2015-05-26 |
|
|
12/2014 |
Interim |
Cash Dividend: HKD 0.022 |
2014/09/12-2014/09/17 |
2014-09-24 |
|
2014-09-10 |
|
|
12/2013 |
Final |
Cash Dividend: HKD 0.0051 |
2014/05/27-2014/05/28 |
2014-06-04 |
|
2014-05-23 |
|