Vitasoy International Holdings Limited(VTSYF) USD 2.05
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.18%USD 0.004USD0.00172022-12-05
USD0.0022022-12-02
20211.81%USD 0.037USD0.03722021-08-30
20202.02%USD 0.042USD0.00492020-12-04
USD0.03662020-08-25
20194.46%USD 0.092USD0.0382019-12-06
USD0.0052019-12-05
USD0.04852019-09-10
20182.19%USD 0.045USD0.00492018-12-06
USD0.042018-09-05
20172.20%USD 0.045USD0.00492017-12-12
USD0.04012017-09-08
201614.83%USD 0.304USD0.00492016-12-13
USD0.2652016-09-07
USD0.03412016-09-06
20151.57%USD 0.032USD0.00492015-12-11
USD0.02732015-09-11
20141.26%USD 0.026USD0.00412014-12-12
USD0.02182014-09-08
20138.30%USD 0.17USD0.00412013-12-13
USD0.1662013-09-10
20121.15%USD 0.024USD0.00412012-12-14
USD0.01952012-08-31
20118.93%USD 0.183USD0.0322011-12-12
USD0.1512011-08-25
20108.10%USD 0.166USD0.0322010-12-07
USD0.1342010-08-24
20090.75%USD 0.015USD0.0042009-12-09
USD0.01142009-08-27
20080.69%USD 0.014USD0.00352008-12-11
USD0.01072008-08-21
20070.58%USD 0.012USD0.00352007-12-12
USD0.00832007-08-30
20060.58%USD 0.012USD0.00352006-12-20
USD0.00832006-09-01
20050.49%USD 0.01USD0.00332005-12-28
USD0.00682005-08-26
20040.47%USD 0.01USD0.00322004-12-28
USD0.00652004-09-01
20033.71%USD 0.076USD0.0252003-12-23
USD0.0512003-08-26
20023.44%USD 0.071USD0.0252002-12-19
USD0.04562002-08-27
20013.44%USD 0.071USD0.0252001-12-17
USD0.04562001-08-29