Hysan Development Co Ltd(HYSNY) USD 5.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20235.03%USD 0.298USD0.298162023-03-02
20226.20%USD 0.368USD0.068792022-09-01
USD0.298962022-03-08
20216.25%USD 0.371USD0.069462021-08-25
USD0.301172021-03-09
20206.26%USD 0.371USD0.069672020-08-20
USD0.301682020-03-03
20196.19%USD 0.367USD0.068862019-09-06
USD0.298132019-03-05
20185.93%USD 0.352USD0.068792018-08-17
USD0.282812018-03-12
20175.85%USD 0.347USD0.066442017-08-15
USD0.280642017-03-03
20165.78%USD 0.343USD0.067042016-08-11
USD0.275882016-03-17
20155.44%USD 0.323USD0.064512015-08-14
USD0.258052015-03-24
20145.13%USD 0.304USD0.059352014-08-19
USD0.244922014-03-18
20134.35%USD 0.258USD0.056742013-08-15
USD0.200972013-03-15
20123.52%USD 0.209USD0.043842012-08-14
USD0.164952012-05-15
20113.25%USD 0.193USD0.038512011-08-18
USD0.154282011-04-29
20102.95%USD 0.175USD0.036082010-08-18
USD0.138582010-05-03
20092.96%USD 0.175USD0.036122009-08-19
USD0.139282009-05-08
20082.68%USD 0.159USD0.035922008-08-13
USD0.122912008-05-05
20076.94%USD 0.412USD0.30922007-08-24
USD0.102312007-04-30
20061.95%USD 0.116USD0.025642006-08-21
USD0.090172006-04-28
20051.73%USD 0.103USD0.025752005-08-22
USD0.07712005-05-02
20040.43%USD 0.026USD0.02562004-08-31