AEON Stores (Hong Kong) Co. Limited(AVK1) EUR 0.073
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20227.40%EUR 0.005HKD0.032022-10-03
HKD0.022022-06-07
202111.84%EUR 0.009HKD0.032021-10-05
HKD0.052021-06-01
202014.80%EUR 0.011HKD0.052020-10-06
HKD0.052020-06-02
201965.12%EUR 0.048HKD0.222019-10-08
HKD0.222019-06-03
201865.12%EUR 0.048HKD0.222018-10-09
HKD0.222018-06-05
201759.20%EUR 0.043HKD0.22017-09-22
HKD0.22017-06-06
201641.14%EUR 0.03HKD0.22016-09-23
HKD0.0782016-05-24
201538.78%EUR 0.028HKD0.2622015-05-26
201448.69%EUR 0.036HKD0.22014-09-25
HKD0.1292014-05-28
201314.36%EUR 0.01HKD0.0972013-05-29
201277.55%EUR 0.057HKD0.1652012-10-08
HKD0.3592012-05-30
201184.51%EUR 0.062HKD0.2552011-10-07
HKD0.3162011-05-23
201032.71%EUR 0.024HKD0.2212010-10-11