Hysan Development Company Limited(HYN) EUR 2.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20234.79%EUR 0.126HKD1.172023-03-02
20225.89%EUR 0.156HKD0.272022-09-02
HKD1.172022-03-09
20215.89%EUR 0.156HKD0.272021-08-24
HKD1.172021-03-10
20205.89%EUR 0.156HKD0.272020-08-21
HKD1.172020-03-04
20195.89%EUR 0.156HKD0.272019-08-26
HKD1.172019-03-06
20185.65%EUR 0.149HKD0.272018-08-20
HKD1.112018-03-13
20175.52%EUR 0.146HKD0.262017-08-17
HKD1.092017-03-07
20165.44%EUR 0.144HKD0.262016-08-15
HKD1.072016-03-21
20155.12%EUR 0.135HKD0.252015-08-18
HKD12015-03-24
20144.83%EUR 0.127HKD0.232014-08-21
HKD0.952014-03-20
20134.09%EUR 0.108HKD0.222013-08-16
HKD0.782013-03-19
20123.31%EUR 0.088HKD0.172012-08-16
HKD0.642012-05-16
20113.07%EUR 0.081HKD0.152011-08-19
HKD0.62011-05-03
20102.78%EUR 0.073HKD0.142010-08-20
HKD0.542010-05-05