Morningstar® Stock Report™

Power Assets Holdings Ltd 00006

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
20/03/202427/05/202411/06/2024Cash DividendHKD2.04
02/08/202331/08/202312/09/2023Cash DividendHKD0.78
15/03/202322/05/202306/06/2023Cash DividendHKD2.04
03/08/202201/09/202214/09/2022Cash DividendHKD0.78
16/03/202223/05/202207/06/2022Cash DividendHKD2.04
04/08/202102/09/202114/09/2021Cash DividendHKD0.78
17/03/202117/05/202101/06/2021Cash DividendHKD2.04
05/08/202003/09/202015/09/2020Cash DividendHKD0.77
18/03/202018/05/202028/05/2020Cash DividendHKD2.03
31/07/201929/08/201910/09/2019Cash DividendHKD0.77
20/03/201920/05/201930/05/2019Cash DividendHKD2.03
26/07/201824/08/201805/09/2018Cash DividendHKD0.77
16/03/201814/05/201829/05/2018Cash DividendHKD2.03
16/03/201803/04/201816/04/2018Special Cash DividendHKD6.00
20/07/201718/08/201729/08/2017Cash DividendHKD0.77
20/07/201718/08/201729/08/2017Special Cash DividendHKD7.50
21/03/201715/05/201725/05/2017Cash DividendHKD2.02
26/01/201714/02/201728/02/2017Special Cash DividendHKD5.00
28/07/201626/08/201607/09/2016Cash DividendHKD0.70
16/03/201617/05/201627/05/2016Cash DividendHKD2.02
23/07/201521/08/201502/09/2015Cash DividendHKD0.68
24/02/201519/05/201501/06/2015Cash DividendHKD2.01
24/07/201425/08/201404/09/2014Cash DividendHKD0.67
25/02/201420/05/201430/05/2014Cash DividendHKD1.90
24/07/201323/08/201304/09/2013Cash DividendHKD0.65
06/03/201322/05/201304/06/2013Cash DividendHKD1.83
19/07/201217/08/201229/08/2012Cash DividendHKD0.62
07/03/201225/05/201207/06/2012Cash DividendHKD1.70
27/07/201125/08/201106/09/2011Cash DividendHKD0.62
02/03/201106/05/201119/05/2011Cash DividendHKD1.49
28/07/201026/08/201007/09/2010Cash DividendHKD0.62
03/03/201027/04/201007/05/2010Cash DividendHKD1.49
05/08/200903/09/200915/09/2009Cash DividendHKD0.62
17/03/200905/05/200915/05/2009Cash DividendHKD1.49
20/08/200809/09/200819/09/2008Cash DividendHKD0.62
27/03/200806/05/2008-Cash DividendHKD1.43
22/08/200711/09/200721/09/2007Cash DividendHKD0.58
10/04/200730/04/200711/05/2007Cash DividendHKD1.27
23/08/200612/09/200622/09/2006Cash DividendHKD0.58
12/04/200602/05/200612/05/2006Cash DividendHKD1.01
12/04/200602/05/200612/05/2006Special Cash DividendHKD0.73
24/08/200513/09/200523/09/2005Cash DividendHKD0.58
13/04/200503/05/200513/05/2005Cash DividendHKD1.19
25/08/200414/09/200424/09/2004Cash DividendHKD0.58
14/04/200404/05/200414/05/2004Cash DividendHKD1.13
27/08/200316/09/200326/09/2003Cash DividendHKD0.58
16/04/200306/05/200316/05/2003Cash DividendHKD1.13
28/08/200217/09/200227/09/2002Cash DividendHKD0.58
09/04/200229/04/200210/05/2002Cash DividendHKD1.07
30/08/200119/09/200103/10/2001Cash DividendHKD0.56
07/04/200127/04/200111/05/2001Cash DividendHKD0.98
31/08/200020/09/200003/10/2000Cash DividendHKD0.54
08/04/200028/04/200012/06/2000Cash DividendHKD0.95
13/08/199902/09/199908/10/1999Cash DividendHKD0.54
09/04/199929/04/199909/06/1999Cash DividendHKD0.90
01/09/199821/09/199805/10/1998Cash DividendHKD0.54
10/04/199830/04/199812/05/1998Cash DividendHKD0.86
30/08/199719/09/199703/10/1997Cash DividendHKD0.51
11/04/199701/05/199713/05/1997Cash DividendHKD0.78
24/08/199613/09/199602/10/1996Cash DividendHKD0.46
05/04/199625/04/199610/05/1996Cash DividendHKD0.70
26/08/199515/09/199504/10/1995Cash DividendHKD0.41
07/04/199527/04/199512/05/1995Cash DividendHKD0.63
26/08/199415/09/199405/10/1994Cash DividendHKD0.37
08/04/199428/04/199412/05/1994Cash DividendHKD0.57
27/08/199316/09/199307/10/1993Cash DividendHKD0.33
09/04/199329/04/199314/05/1993Cash DividendHKD0.52
21/08/199210/09/199201/10/1992Cash DividendHKD0.30
11/04/199201/05/199215/05/1992Cash DividendHKD0.44
31/08/199120/09/199110/10/1991Cash DividendHKD0.26
13/04/199103/05/199115/05/1991Cash DividendHKD0.38
01/09/199021/09/199011/10/1990Cash DividendHKD0.23
07/04/199027/04/199011/05/1990Cash DividendHKD0.37
02/09/198922/09/198912/10/1989Cash DividendHKD0.23
08/04/198928/04/198912/05/1989Cash DividendHKD0.33
03/09/198823/09/198812/10/1988Cash DividendHKD0.21
02/04/198822/04/198820/05/1988Cash DividendHKD0.30
05/09/198725/09/198712/10/1987Cash DividendHKD0.20
16/05/198705/06/198716/06/1987Cash DividendHKD0.35
06/09/198626/09/198614/10/1986Cash DividendHKD0.25
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