Orient Overseas International Ltd(0316) HKD 169.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202227.92%HKD 47.242HKD26.7542022-09-01
HKD20.4882022-05-25
202110.40%HKD 17.597HKD13.6772021-09-02
HKD3.922021-05-26
20200.35%HKD 0.591HKD0.3812020-09-16
HKD0.212020-05-20
20198.04%HKD 13.6HKD12.482019-12-19
HKD0.5192019-09-18
HKD0.6012019-05-22
20170.10%HKD 0.167HKD0.1672017-08-30
20160.09%HKD 0.145HKD0.1452016-05-05
20150.60%HKD 1.019HKD0.7492015-09-02
HKD0.272015-05-06
20140.43%HKD 0.732HKD0.5852014-09-04
HKD0.1472014-04-30
20130.33%HKD 0.56HKD0.562013-05-02
20120.21%HKD 0.363HKD0.3632012-09-04
20111.38%HKD 2.336HKD0.5462011-09-01
HKD1.792011-04-21
20101.84%HKD 3.12HKD3.122010-09-01
20090.21%HKD 0.35HKD0.352009-04-23
20080.92%HKD 1.56HKD0.512008-08-27
HKD1.052008-04-11
20070.99%HKD 1.68HKD0.742007-08-29
HKD0.942007-04-13
20061.19%HKD 2.019HKD0.855532006-08-30
HKD1.163782006-04-12
20051.38%HKD 2.336HKD0.932662005-08-31
HKD1.403742005-04-15
20041.04%HKD 1.758HKD0.850912004-09-01
HKD0.907482004-04-16
20030.24%HKD 0.409HKD0.248162003-09-03
HKD0.161152003-04-23
20020.06%HKD 0.097HKD0.096692002-04-24
20010.15%HKD 0.258HKD0.064462001-09-05
HKD0.193372001-04-23
20000.15%HKD 0.258HKD0.064452000-09-06
HKD0.193132000-05-09