Grupo Aval
AVAL
#4045
Rank
HK$18.13 B
Marketcap
๐Ÿ‡จ๐Ÿ‡ด
Country
HK$15.85
Share price
-0.49%
Change (1 day)
-16.99%
Change (1 year)

Dividend history for Grupo Aval (AVAL)

Grupo Aval (stock symbol: AVAL) made a total of 98 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$23.41
Dividend yield (TTM) : 8.14% See Grupo Aval dividend yield history

Dividend payments for Grupo Aval (AVAL) from 2014 to 2024

Annual dividend payments

Year Dividend (stock split adjusted) Change
2024 HK$0.87-34.12%
2023 HK$1.32-42.57%
2022 HK$2.30 30.97%
2021 HK$1.76 5.12%
2020 HK$1.67-41.26%
2019 HK$2.84 14.02%
2018 HK$2.49-20.35%
2017 HK$3.13-3.82%
2016 HK$3.26 37.83%
2015 HK$2.36 67.03%
2014 HK$1.41N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2024-09-30HK$0.08546N/A
2024-08-30HK$0.08546N/A
2024-07-31HK$0.08546N/A
2024-07-01HK$0.08546N/A
2024-06-03HK$0.08546N/A
2024-04-30HK$0.08546 10.00%
2024-03-28HK$0.07769-44.44%
2024-02-28HK$0.14N/A
2024-01-30HK$0.14N/A
2023-12-28HK$0.14N/A
2023-11-29HK$0.14N/A
2023-10-30HK$0.14N/A
2023-09-28HK$0.14 12.50%
2023-08-30HK$0.12-11.11%
2023-07-28HK$0.14 12.50%
2023-06-30HK$0.12N/A
2023-05-30HK$0.12N/A
2023-04-28HK$0.12N/A
2023-04-12HK$0.12-94.12%
2022-06-01HK$2.11 1,033.33%
2022-02-25HK$0.19N/A
2021-11-29HK$0.19-4.00%
2021-08-30HK$0.19N/A
2021-07-29HK$0.19N/A
2021-06-29HK$0.19N/A
2021-05-27HK$0.19N/A
2021-04-29HK$0.19N/A
2021-04-01HK$0.19-3.85%
2021-02-25HK$0.20N/A
2021-01-28HK$0.20N/A
2020-12-30HK$0.20-3.70%
2020-11-27HK$0.21 3.85%
2020-10-30HK$0.20-3.70%
2020-09-29HK$0.21 12.50%
2020-04-30HK$0.19-4.00%
2020-04-09HK$0.19-16.67%
2020-02-27HK$0.23N/A
2020-01-30HK$0.23N/A
2019-12-30HK$0.23N/A
2019-11-27HK$0.23N/A
2019-10-30HK$0.23N/A
2019-09-27HK$0.23-6.25%
2019-08-29HK$0.25N/A
2019-07-30HK$0.25N/A
2019-06-28HK$0.25N/A
2019-05-31HK$0.25N/A
2019-04-30HK$0.25N/A
2019-04-02HK$0.25 18.52%
2019-02-27HK$0.21N/A
2019-01-30HK$0.21N/A
2018-12-28HK$0.21N/A
2018-11-29HK$0.21N/A
2018-09-27HK$0.21-6.90%
2018-08-30HK$0.23N/A
2018-07-30HK$0.23N/A
2018-06-29HK$0.23N/A
2018-05-30HK$0.23N/A
2018-04-30HK$0.23N/A
2018-04-06HK$0.23-12.12%
2018-02-27HK$0.26N/A
2018-01-30HK$0.26N/A
2017-12-28HK$0.26N/A
2017-11-29HK$0.26N/A
2017-10-30HK$0.26-2.94%
2017-09-28HK$0.26N/A
2017-08-29HK$0.26N/A
2017-07-27HK$0.26N/A
2017-06-29HK$0.26N/A
2017-05-26HK$0.26N/A
2017-04-27HK$0.26N/A
2017-04-06HK$0.26 3.03%
2017-02-24HK$0.26N/A
2017-01-27HK$0.26N/A
2016-12-28HK$0.26N/A
2016-11-28HK$0.26N/A
2016-10-27HK$0.26N/A
2016-10-11HK$0.26 3.13%
2016-08-29HK$0.25N/A
2016-07-27HK$0.25N/A
2016-06-28HK$0.25N/A
2016-05-26HK$0.25-5.88%
2016-04-27HK$0.26 6.25%
2016-04-26HK$0.25 3.23%
2016-04-01HK$0.24 6.90%
2016-02-25HK$0.23-12.12%
2016-01-27HK$0.26N/A
2015-12-29HK$0.26-13.16%
2015-08-27HK$0.30N/A
2015-07-29HK$0.30N/A
2015-06-26HK$0.30N/A
2015-05-27HK$0.30N/A
2015-04-28HK$0.30-7.32%
2015-02-25HK$0.32 2.50%
2015-01-28HK$0.31N/A
2014-12-29HK$0.31-14.89%
2014-11-25HK$0.37-2.08%
2014-10-30HK$0.37 2.13%
2014-10-01HK$0.37N/A

Dividend payments for similar companies or competitors

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