Morningstar® Stock Report™

CLP Holdings Ltd 00002

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
13/05/202431/05/202414/06/2024Cash DividendHKD0.63
26/02/202408/03/202421/03/2024Cash DividendHKD1.21
16/10/202304/12/202315/12/2023Cash DividendHKD0.63
07/08/202304/09/202315/09/2023Cash DividendHKD0.63
15/05/202302/06/202315/06/2023Cash DividendHKD0.63
27/02/202310/03/202323/03/2023Cash DividendHKD1.21
17/10/202202/12/202215/12/2022Cash DividendHKD0.63
08/08/202201/09/202215/09/2022Cash DividendHKD0.63
16/05/202201/06/202215/06/2022Cash DividendHKD0.63
28/02/202211/03/202224/03/2022Cash DividendHKD1.21
18/10/202102/12/202115/12/2021Cash DividendHKD0.63
02/08/202102/09/202115/09/2021Cash DividendHKD0.63
17/05/202101/06/202115/06/2021Cash DividendHKD0.63
22/02/202105/03/202118/03/2021Cash DividendHKD1.21
19/10/202002/12/202015/12/2020Cash DividendHKD0.63
03/08/202002/09/202015/09/2020Cash DividendHKD0.63
11/05/202002/06/202015/06/2020Cash DividendHKD0.63
24/02/202006/03/202019/03/2020Cash DividendHKD1.19
21/10/201902/12/201913/12/2019Cash DividendHKD0.63
06/08/201902/09/201913/09/2019Cash DividendHKD0.63
07/05/201931/05/201914/06/2019Cash DividendHKD0.63
25/02/201908/03/201921/03/2019Cash DividendHKD1.19
15/10/201803/12/201814/12/2018Cash DividendHKD0.61
06/08/201803/09/201814/09/2018Cash DividendHKD0.61
14/05/201804/06/201815/06/2018Cash DividendHKD0.61
26/02/201809/03/201822/03/2018Cash DividendHKD1.14
16/10/201704/12/201715/12/2017Cash DividendHKD0.59
07/08/201704/09/201715/09/2017Cash DividendHKD0.59
11/05/201702/06/201715/06/2017Cash DividendHKD0.59
27/02/201710/03/201723/03/2017Cash DividendHKD1.09
20/10/201602/12/201615/12/2016Cash DividendHKD0.57
01/08/201602/09/201615/09/2016Cash DividendHKD0.57
09/05/201601/06/201615/06/2016Cash DividendHKD0.57
29/02/201611/03/201624/03/2016Cash DividendHKD1.05
13/03/201502/12/201515/12/2015Cash DividendHKD0.55
13/03/201502/09/201515/09/2015Cash DividendHKD0.55
13/03/201502/06/201515/06/2015Cash DividendHKD0.55
26/02/201511/03/201524/03/2015Cash DividendHKD1.00
20/10/201402/12/201415/12/2014Cash DividendHKD0.54
14/08/201402/09/201415/09/2014Cash DividendHKD0.54
19/05/201430/05/2014-Cash DividendHKD0.54
27/02/201412/03/201425/03/2014Cash DividendHKD0.98
28/10/201302/12/201313/12/2013Cash DividendHKD0.53
12/08/201302/09/201313/09/2013Cash DividendHKD0.53
20/05/201331/05/201314/06/2013Cash DividendHKD0.53
25/02/201308/03/201321/03/2013Cash DividendHKD0.98
15/10/201203/12/201214/12/2012Cash DividendHKD0.53
14/08/201203/09/201214/09/2012Cash DividendHKD0.53
15/05/201204/06/201215/06/2012Cash DividendHKD0.53
27/02/201209/03/201222/03/2012Cash DividendHKD0.96
17/10/201102/12/201115/12/2011Cash DividendHKD0.52
16/08/201102/09/201115/09/2011Cash DividendHKD0.52
17/05/201101/06/201115/06/2011Cash DividendHKD0.52
24/02/201115/03/201128/03/2011Cash DividendHKD0.92
19/10/201002/12/201015/12/2010Cash DividendHKD0.52
16/08/201003/09/201015/09/2010Cash DividendHKD0.52
10/05/201002/06/201015/06/2010Cash DividendHKD0.52
25/02/201015/04/201028/04/2010Cash DividendHKD0.92
20/10/200902/12/200915/12/2009Cash DividendHKD0.52
18/08/200903/09/200915/09/2009Cash DividendHKD0.52
12/05/200902/06/200915/06/2009Cash DividendHKD0.52
26/02/200916/04/200929/04/2009Cash DividendHKD0.92
12/11/200802/12/200815/12/2008Cash DividendHKD0.52
23/07/200801/09/2008-Cash DividendHKD0.52
18/04/200830/05/2008-Cash DividendHKD0.52
06/03/200817/04/2008-Cash DividendHKD0.92
10/11/200730/11/200714/12/2007Cash DividendHKD0.52
15/08/200704/09/200714/09/2007Cash DividendHKD0.52
12/05/200701/06/200715/06/2007Cash DividendHKD0.52
23/03/200712/04/200725/04/2007Cash DividendHKD0.89
23/03/200712/04/200725/04/2007Special Cash DividendHKD0.02
11/11/200601/12/200615/12/2006Cash DividendHKD0.50
17/08/200606/09/200615/09/2006Cash DividendHKD0.50
12/05/200601/06/200615/06/2006Cash DividendHKD0.50
22/03/200611/04/200626/04/2006Cash DividendHKD0.83
22/03/200611/04/200626/04/2006Special Cash DividendHKD0.11
11/11/200501/12/200515/12/2005Cash DividendHKD0.48
16/08/200505/09/200515/09/2005Cash DividendHKD0.48
12/05/200501/06/200515/06/2005Cash DividendHKD0.48
26/03/200515/04/200529/04/2005Cash DividendHKD0.73
26/03/200515/04/200529/04/2005Special Cash DividendHKD0.15
11/11/200401/12/200415/12/2004Cash DividendHKD0.45
12/08/200401/09/200415/09/2004Cash DividendHKD0.45
19/05/200408/06/200423/06/2004Cash DividendHKD0.45
19/03/200408/04/200423/04/2004Cash DividendHKD0.65
19/03/200408/04/200423/04/2004Special Cash DividendHKD0.10
11/11/200301/12/200315/12/2003Cash DividendHKD0.41
09/08/200329/08/200315/09/2003Cash DividendHKD0.41
09/05/200329/05/200313/06/2003Cash DividendHKD0.41
02/04/200322/04/200306/05/2003Cash DividendHKD0.51
02/04/200322/04/200306/05/2003Special Cash DividendHKD0.23
09/11/200229/11/200213/12/2002Cash DividendHKD0.38
10/08/200230/08/200213/09/2002Cash DividendHKD0.38
11/05/200231/05/200214/06/2002Cash DividendHKD0.38
26/03/200215/04/200226/04/2002Cash DividendHKD0.44
26/03/200215/04/200226/04/2002Special Cash DividendHKD0.61
10/11/200130/11/200114/12/2001Cash DividendHKD0.35
11/08/200131/08/200114/09/2001Cash DividendHKD0.35
12/05/200101/06/200115/06/2001Cash DividendHKD0.35
20/03/200109/04/200124/04/2001Cash DividendHKD0.50
20/03/200109/04/200124/04/2001Special Cash DividendHKD0.27
11/11/200001/12/200015/12/2000Cash DividendHKD0.40
11/08/200031/08/200015/09/2000Cash DividendHKD0.40
11/08/200031/08/200015/09/2000Special Cash DividendHKD0.27
11/05/200031/05/200015/06/2000Cash DividendHKD0.40
16/03/200005/04/200018/04/2000Cash DividendHKD0.50
16/03/200005/04/200018/04/2000Special Cash DividendHKD0.25
12/11/199902/12/199915/12/1999Cash DividendHKD0.38
12/08/199901/09/199915/09/1999Cash DividendHKD0.38
12/05/199901/06/199915/06/1999Cash DividendHKD0.38
09/02/199901/03/199915/03/1999Cash DividendHKD0.38
24/12/199813/01/199926/01/1999Cash DividendHKD0.48
24/12/199813/01/199926/01/1999Special Cash DividendHKD0.10
12/08/199801/09/199815/09/1998Cash DividendHKD0.36
12/05/199801/06/199815/06/1998Cash DividendHKD0.36
12/05/199801/06/199815/06/1998Special Cash DividendHKD0.52
07/02/199827/02/199813/03/1998Cash DividendHKD0.36
14/11/199704/12/199716/12/1997Cash DividendHKD0.46
24/07/199713/08/199715/09/1997Cash DividendHKD0.34
23/04/199713/05/199713/06/1997Cash DividendHKD0.34
23/01/199712/02/199714/03/1997Cash DividendHKD0.34
05/11/199625/11/199617/12/1996Cash DividendHKD0.44
24/07/199613/08/199613/09/1996Cash DividendHKD0.32
23/04/199613/05/199614/06/1996Cash DividendHKD0.32
24/01/199613/02/199615/03/1996Cash DividendHKD0.32
07/11/199527/11/199519/12/1995Cash DividendHKD0.37
22/07/199511/08/199515/09/1995Cash DividendHKD0.30
16/05/199505/06/199515/06/1995Special Cash DividendHKD0.35
21/04/199511/05/199515/06/1995Cash DividendHKD0.30
24/01/199513/02/199515/03/1995Cash DividendHKD0.30
08/11/199428/11/199420/12/1994Cash DividendHKD0.37
22/07/199411/08/199415/09/1994Cash DividendHKD0.26
21/04/199411/05/199415/06/1994Cash DividendHKD0.26
20/01/199409/02/199415/03/1994Cash DividendHKD0.26
09/11/199329/11/199321/12/1993Cash DividendHKD0.42
22/07/199311/08/199315/09/1993Cash DividendHKD0.26
22/04/199312/05/199315/06/1993Cash DividendHKD0.26
22/01/199311/02/199315/03/1993Cash DividendHKD0.26
06/11/199226/11/199222/12/1992Cash DividendHKD0.38
23/07/199212/08/199215/09/1992Cash DividendHKD0.22
24/04/199214/05/199212/06/1992Cash DividendHKD0.22
24/01/199213/02/199213/03/1992Cash DividendHKD0.22
02/11/199122/11/199117/12/1991Cash DividendHKD0.33
25/07/199114/08/199113/09/1991Cash DividendHKD0.18
24/04/199114/05/199114/06/1991Cash DividendHKD0.18
23/01/199112/02/199115/03/1991Cash DividendHKD0.18
03/11/199023/11/199018/12/1990Cash DividendHKD0.27
25/07/199014/08/199014/09/1990Cash DividendHKD0.15
24/04/199014/05/199015/06/1990Cash DividendHKD0.15
25/01/199014/02/199015/03/1990Cash DividendHKD0.15
04/11/198924/11/198919/12/1989Cash DividendHKD0.27
25/07/198914/08/198914/09/1989Cash DividendHKD0.15
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