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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
BOC Hong Kong Holdings Ltd 2021-05-20 €0.009 €0.17 5.980%
Hang Seng Bank Ltd 2021-05-11 €0.015 €0.77 6.400%
Hang Lung Properties Ltd 2021-05-03 €0.041 €0.014 1.420%
Swire Pacific A 2021-04-07 €0.11 €0.38 5.100%
Sino Land Co Ltd 2021-03-10 €0.002 €0.070 7.220%
Sun Hung Kai Properties 2021-03-10 €0.13 €0.55 6.500%
Hong Kong Exchanges and Clearing Ltd 2021-03-09 €0.062 €0.46 1.530%
Hang Seng Bank Ltd 2021-03-08 €0.039 €0.77 6.400%
New World Development Co. Ltd. 2020-11-30 €0.16 €0.22 21.160%
Link REIT 2020-11-19 €0.020 €0.17 4.230%
Sun Hung Kai Properties 2020-11-09 €0.40 €0.55 6.500%
Sino Land Co Ltd 2020-10-30 €0.045 €0.070 7.220%
Hang Seng Bank Ltd 2020-10-15 €0.011 €0.77 6.400%
China Resources Land 2020-09-24 €0.002 €0.19 6.290%
China Resources Land 2020-09-24 €0.002 €0.19 6.290%
China Overseas Land & Investment Ltd 2020-09-18 €0.049 €0.089 5.450%
BOC Hong Kong Holdings Ltd 2020-09-15 €0.049 €0.17 5.980%
Citic Pacific Ltd 2020-09-14 €0.011 €0.076 8.710%
Citic Pacific Ltd 2020-09-14 €0.011 €0.076 8.710%
Hang Lung Properties Ltd 2020-09-10 €0.019 €0.014 1.420%
Swire Pacific A 2020-09-09 €0.077 €0.38 5.100%
AIA Group Ltd. 2020-09-07 €0.038 €0.18 2.900%
Hang Seng Bank Ltd 2020-08-14 €0.087 €0.77 6.400%
BOC Hong Kong Holdings Ltd 2020-07-02 €0.11 €0.17 5.980%
China Overseas Land & Investment Ltd 2020-06-30 €0.065 €0.089 5.450%
Citic Pacific Ltd 2020-06-23 €0.033 €0.076 8.710%
Citic Pacific Ltd 2020-06-23 €0.033 €0.076 8.710%
China Resources Land 2020-06-18 €0.12 €0.19 6.290%
China Resources Land 2020-06-18 €0.12 €0.19 6.290%
Link REIT 2020-06-12 €0.17 €0.17 4.230%