CTBC Financial Holding
2891.TW
#569
Rank
A$62.43 B
Marketcap
A$3.13
Share price
1.58%
Change (1 day)
46.28%
Change (1 year)
CTBC Financial Holding Co., Ltd. is a Taiwanese holding company principally engaged in the finance industry through its subsidiaries: CTBC Financial Park, CTBC Bank, CTBC Securities Co., CTBC Insurance Brokers Co., CTBC Venture Capital Co., CTBC Asset Management Co., CTBC Bills Finance Corp., CTBC Security Co., Taiwan Lottery Corporation

Dividend history for CTBC Financial Holding (2891.TW)

CTBC Financial Holding (stock symbol: 2891.TW) made a total of 23 dividend payments.
The sum of all dividends (adjusted for stock splits) is : A$0.81
Dividend yield (TTM) : 3.47% See CTBC Financial Holding dividend yield history

Dividend payments for CTBC Financial Holding (2891.TW) from 2003 to 2026

Annual dividend payments

Year Dividend (stock split adjusted) Change
2026 A$0.11 8.69%
2025 A$0.09970 27.79%
2024 A$0.07802 80.01%
2023 A$0.04334-20.00%
2022 A$0.05418 19.05%
2021 A$0.04551 5.00%
2020 A$0.04334N/A
2019 A$0.04334-7.41%
2018 A$0.04681 27.06%
2017 A$0.03684 13.33%
2016 A$0.03251 16.86%
2015 A$0.02782 104.48%
2014 A$0.01360-42.73%
2013 A$0.02375 95.77%
2012 A$0.01213-40.68%
2011 A$0.02046 61.41%
2010 A$0.01267 193.47%
2009 A$0.004318-8.61%
2008 A$0.004725-55.20%
2006 A$0.01055-39.89%
2005 A$0.01755-3.81%
2004 A$0.01824 22.05%
2003 A$0.01495N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2026-07-13A$0.11 8.69%
2025-07-14A$0.09970 27.79%
2024-07-15A$0.07802 80.01%
2023-08-04A$0.04334-20.00%
2022-07-14A$0.05418 19.05%
2021-08-16A$0.04551 5.00%
2020-07-13A$0.04334N/A
2019-07-15A$0.04334-7.41%
2018-07-09A$0.04681 27.06%
2017-07-17A$0.03684 13.33%
2016-07-29A$0.03251 16.86%
2015-08-06A$0.02782 104.48%
2014-07-09A$0.01360-42.73%
2013-07-17A$0.02375 95.77%
2012-07-17A$0.01213-40.68%
2011-07-19A$0.02046 61.41%
2010-07-29A$0.01267 193.47%
2009-07-16A$0.004318-8.61%
2008-07-03A$0.004725-55.20%
2006-07-06A$0.01055-39.89%
2005-07-14A$0.01755-3.81%
2004-07-12A$0.01824 22.05%
2003-07-03A$0.01495N/A