Morningstar® Stock Report™

New World Development Co Ltd 00017

Historical Dividends
Fecha declaradaEx DatePayment DateTipo de activoDivisaMonto
29/02/202420/03/202418/04/2024Cash DividendHKD0.20
29/09/202323/11/202320/12/2023Cash DividendHKD0.30
29/09/202323/11/202320/12/2023Special Cash DividendHKD1.59
23/02/202315/03/202313/04/2023Cash DividendHKD0.46
30/09/202224/11/202221/12/2022Cash DividendHKD1.50
25/02/202216/03/202212/04/2022Cash DividendHKD0.56
30/09/202125/11/202121/12/2021Cash DividendHKD1.50
26/02/202117/03/202115/04/2021Cash DividendHKD0.56
30/09/202030/11/202021/12/2020Cash DividendHKD1.48
28/02/202018/03/202016/04/2020Cash DividendHKD0.56
25/09/201921/11/201919/12/2019Cash DividendHKD1.48
27/02/201918/03/201916/04/2019Cash DividendHKD0.56
20/09/201822/11/201820/12/2018Cash DividendHKD1.36
27/02/201816/03/201831/05/2018Cash DividendHKD0.56
21/09/201723/11/201729/12/2017Cash DividendHKD1.32
22/02/201710/03/201719/05/2017Cash DividendHKD0.52
21/09/201624/11/201630/12/2016Cash DividendHKD1.24
23/02/201611/03/201620/05/2016Cash DividendHKD0.52
31/10/201520/11/201529/12/2015Cash DividendHKD1.20
26/02/201518/03/201522/05/2015Cash DividendHKD0.48
24/09/201421/11/201430/12/2014Cash DividendHKD1.20
26/02/201414/03/201423/05/2014Cash DividendHKD0.45
26/09/201321/11/201331/12/2013Cash DividendHKD1.13
27/02/201315/03/201322/05/2013Cash DividendHKD0.45
26/09/201223/11/201231/12/2012Cash DividendHKD1.05
29/02/201216/03/201217/05/2012Cash DividendHKD0.38
29/09/201124/11/201130/12/2011Cash DividendHKD1.05
28/02/201118/03/201123/05/2011Cash DividendHKD0.34
06/10/201015/11/201028/12/2010Cash DividendHKD0.96
17/03/201006/04/2010-Cash DividendHKD0.34
17/03/201001/04/2010-Cash DividendHKD0.34
08/10/200930/11/200919/01/2010Cash DividendHKD0.03
08/10/200930/11/200919/01/2010Special Cash DividendHKD0.68
17/03/200901/04/200915/06/2009Cash DividendHKD0.31
14/10/200821/11/200821/01/2009Cash DividendHKD0.85
29/02/200809/04/2008-Cash DividendHKD0.61
01/10/200716/11/200722/01/2008Cash DividendHKD0.85
13/03/200702/04/200710/07/2007Cash DividendHKD0.51
26/10/200615/11/200619/01/2007Cash DividendHKD0.68
10/03/200630/03/200603/07/2006Cash DividendHKD0.44
10/03/200530/03/200527/06/2005Cash DividendHKD0.34
09/11/200429/11/200420/01/2005Cash DividendHKD0.14
07/04/200427/04/200421/05/2004Cash DividendHKD0.07
19/03/200308/04/200303/06/2003Cash DividendHKD0.20
26/10/200215/11/200208/01/2003Cash DividendHKD0.34
15/03/200204/04/200203/06/2002Cash DividendHKD0.34
14/03/200103/04/200128/05/2001Cash DividendHKD0.34
24/03/200013/04/200012/06/2000Cash DividendHKD0.34
24/03/199913/04/199908/06/1999Cash DividendHKD0.51
25/03/199814/04/199809/06/1998Cash DividendHKD1.09
21/11/199711/12/199723/01/1998Cash DividendHKD3.00
21/03/199710/04/199711/06/1997Cash DividendHKD1.09
22/03/199611/04/199611/06/1996Cash DividendHKD1.02
23/11/199513/12/199529/01/1996Cash DividendHKD2.66
22/03/199511/04/199513/06/1995Cash DividendHKD0.96
18/11/199408/12/199418/01/1995Cash DividendHKD2.66
25/03/199414/04/199409/06/1994Cash DividendHKD0.96
19/11/199309/12/199318/01/1994Cash DividendHKD2.12
18/03/199307/04/199307/06/1993Cash DividendHKD0.85
19/11/199209/12/199218/01/1993Cash DividendHKD1.60
11/04/199201/05/199222/06/1992Cash DividendHKD0.72
20/11/199110/12/199120/01/1992Cash DividendHKD1.16
12/04/199102/05/199117/05/1991Cash DividendHKD0.55
17/11/199007/12/199021/01/1991Cash DividendHKD1.33
11/04/199001/05/199015/06/1990Cash DividendHKD0.75
20/11/198911/12/198918/01/1990Cash DividendHKD1.33
11/04/198901/05/198912/05/1989Cash DividendHKD0.72
19/11/198809/12/198820/12/1988Cash DividendHKD1.09
30/03/198819/04/198831/05/1988Cash DividendHKD0.61
21/11/198711/12/198729/12/1987Cash DividendHKD0.82
10/04/198730/04/198721/05/1987Cash DividendHKD0.48
15/11/198605/12/198629/12/1986Cash DividendHKD0.65
Stock Splits
Ex DateSplit FromSplit ToAdjustment Factor
23/06/20204.00001.00000.25
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