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Dividends

Stock Ex-date Value Total 1 year Dividend Yield
Value Partners Group Ltd 2023-12-28 €0.058 €0.058 29.540%
Guotai Junan International 2023-09-08 €0.001 €0.002 4.620%
Dah Sing Financial Holdings 2023-09-07 €0.043 €0.14 5.580%
Bright Smart Securities & Commodities Group Ltd 2023-08-23 €0.059 €0.059 32.250%
Sheng Ye Capital 2023-06-28 €0.009 €0.009 1.480%
Min Xin Holdings Ltd 2023-06-26 €0.014 €0.014 5.000%
Guotai Junan Securities 2023-06-09 €0.070 €0.070 7.170%
Genertec Universal Medical Group Company Limited 2023-06-09 €0.040 €0.040 7.920%
Dah Sing Financial Holdings 2023-06-07 €0.097 €0.14 5.580%
Goldpac Group Ltd 2023-05-30 €0.005 €0.005 2.740%
Guotai Junan International 2023-05-25 €0.001 €0.002 4.620%
Shougang Con.gr.grp 2023-05-24 €0.000 €0.000 3.810%
Yixin Group 2023-05-15 €0.002 €0.002 1.990%
Value Partners Group Ltd 2023-05-03 €0.004 €0.058 29.540%
Dah Sing Financial Holdings 2022-09-12 €0.005 €0.14 5.580%
Dah Sing Financial Holdings 2022-09-08 €0.042 €0.14 5.580%
Dah Sing Financial Holdings 2022-06-03 €0.087 €0.14 5.580%
Value Partners Group Ltd 2022-05-03 €0.001 €0.058 29.540%
Shenyin Wanguo Hk 2021-05-25 €0.000 €0.000 1.380%
Value Partners Group Ltd 2021-05-04 €0.001 €0.058 29.540%
Hongkong Chinese Ltd 2021-01-04 €0.001 €0.002 7.000%
Chong Hing Bank Ltd 2020-09-29 €0.012 €0.060 2.680%
Hongkong Chinese Ltd 2020-09-10 €0.001 €0.002 7.000%
Dah Sing Financial Holdings 2020-09-09 €0.030 €0.14 5.580%
Guotai Junan International 2020-08-21 €0.004 €0.002 4.620%
Genertec Universal Medical Group Company Limited 2020-06-11 €0.033 €0.040 7.920%
Rivera Holdings Ltd 2020-06-08 €0.005 €0.005 7.810%
Min Xin Holdings Ltd 2020-06-05 €0.012 €0.014 5.000%
Goldpac Group Ltd 2020-06-04 €0.018 €0.005 2.740%
Dah Sing Financial Holdings 2020-06-03 €0.13 €0.14 5.580%