HK$0.24
HK$0.00 (0.00%)
End-of-day quote: 05/17/2024
SEHK:952

Quam Plus International Financial Dividend

Date Amount Div Yld
09/14/2023 HK$0.01 5.56% -
05/26/2021 HK$0.01 3.85% -
08/23/2016 HK$0.01 1.47% -
11/12/2015 HK$0.01 0.74% -
08/11/2015 HK$0.01 0.64% -
12/04/2014 HK$0.01 2.38% -
08/11/2014 HK$0.01 2.38% -
12/06/2013 HK$0.01 4.00% -
08/02/2011 HK$0.01 3.13% -
12/10/2009 HK$0.01 2.33% -
12/18/2008 HK$0.01 3.70% -
09/03/2008 HK$0.03 5.66% -
12/20/2007 HK$0.01 1.09% -
08/06/2007 HK$0.01 0.90% -
12/14/2006 HK$0.01 2.70% -
more