Service Properties Trust
SVC
#6995
Rank
HK$3.61 B
Marketcap
HK$21.70
Share price
-2.62%
Change (1 day)
-65.11%
Change (1 year)

Dividend history for Service Properties Trust (SVC)

Service Properties Trust (stock symbol: SVC) made a total of 115 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$484.77
Dividend yield (TTM) : 14.64% See Service Properties Trust dividend yield history

Dividend payments for Service Properties Trust (SVC) from 1995 to 2024

Annual dividend payments

Year Dividend (stock split adjusted) Change
2024 HK$4.75-23.75%
2023 HK$6.23 247.83%
2022 HK$1.79 475.00%
2021 HK$0.31-92.98%
2020 HK$4.44-73.49%
2019 HK$16.75 1.90%
2018 HK$16.44 1.93%
2017 HK$16.13 1.97%
2016 HK$15.81 2.01%
2015 HK$15.50 2.05%
2014 HK$15.19 3.17%
2013 HK$14.72 3.85%
2012 HK$14.18 1.11%
2011 HK$14.02N/A
2010 HK$14.02 133.77%
2009 HK$6.00-75.00%
2008 HK$23.99-48.85%
2007 HK$46.91 104.80%
2006 HK$22.90 35.48%
2005 HK$16.91-24.65%
2004 HK$22.44-20.00%
2003 HK$28.05 25.87%
2002 HK$22.28 1.42%
2001 HK$21.97 1.81%
2000 HK$21.58 34.47%
1999 HK$16.05-20.92%
1998 HK$20.29 6.33%
1997 HK$19.09 4.70%
1996 HK$18.23 134.00%
1995 HK$7.79N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2024-10-28HK$0.07790-95.00%
2024-07-22HK$1.56N/A
2024-04-19HK$1.56N/A
2024-01-19HK$1.56N/A
2023-10-20HK$1.56N/A
2023-07-21HK$1.56N/A
2023-04-21HK$1.56N/A
2023-01-20HK$1.56N/A
2022-10-21HK$1.56 1,900.00%
2022-07-22HK$0.07790N/A
2022-04-22HK$0.07790N/A
2022-01-21HK$0.07790N/A
2021-10-22HK$0.07790N/A
2021-07-23HK$0.07790N/A
2021-04-23HK$0.07790N/A
2021-01-22HK$0.07790N/A
2020-10-23HK$0.07790N/A
2020-07-24HK$0.07790N/A
2020-04-20HK$0.07790-98.15%
2020-01-24HK$4.21N/A
2019-10-25HK$4.21N/A
2019-07-26HK$4.21N/A
2019-04-26HK$4.21 1.89%
2019-01-25HK$4.13N/A
2018-10-26HK$4.13N/A
2018-07-27HK$4.13N/A
2018-04-27HK$4.13 1.92%
2018-01-26HK$4.05N/A
2017-10-20HK$4.05N/A
2017-07-20HK$4.05N/A
2017-04-19HK$4.05 1.96%
2017-01-19HK$3.97N/A
2016-10-19HK$3.97N/A
2016-07-20HK$3.97N/A
2016-04-21HK$3.97 2.00%
2016-01-20HK$3.90N/A
2015-10-21HK$3.90N/A
2015-07-22HK$3.90N/A
2015-04-22HK$3.90 2.04%
2015-01-21HK$3.82N/A
2014-10-22HK$3.82N/A
2014-07-23HK$3.82N/A
2014-04-23HK$3.82 2.08%
2014-01-09HK$3.74N/A
2013-10-23HK$3.74 2.13%
2013-07-24HK$3.66N/A
2013-04-24HK$3.66N/A
2013-01-29HK$3.66N/A
2012-10-18HK$3.66 4.44%
2012-07-25HK$3.51N/A
2012-04-24HK$3.51N/A
2012-01-25HK$3.51N/A
2011-10-24HK$3.51N/A
2011-07-07HK$3.51N/A
2011-04-27HK$3.51N/A
2011-01-26HK$3.51N/A
2010-10-27HK$3.51N/A
2010-07-28HK$3.51N/A
2010-04-28HK$3.51N/A
2010-01-21HK$3.51-41.56%
2009-01-16HK$6.00N/A
2008-10-10HK$6.00N/A
2008-07-30HK$6.00N/A
2008-04-11HK$6.00N/A
2008-01-10HK$6.00N/A
2007-10-17HK$6.00 1.32%
2007-07-10HK$5.92N/A
2007-04-12HK$5.92-74.59%
2007-02-01HK$23.30 304.19%
2007-01-11HK$5.76N/A
2006-10-12HK$5.76N/A
2006-07-12HK$5.76 1.37%
2006-04-10HK$5.69N/A
2006-01-25HK$5.69N/A
2005-10-19HK$5.69 1.39%
2005-07-19HK$5.61N/A
2005-04-15HK$5.61N/A
2004-12-28HK$5.61N/A
2004-10-20HK$5.61N/A
2004-07-20HK$5.61N/A
2004-04-30HK$5.61N/A
2003-12-29HK$5.61N/A
2003-10-24HK$5.61N/A
2003-07-21HK$5.61N/A
2003-04-21HK$5.61N/A
2003-01-21HK$5.61N/A
2002-10-23HK$5.61N/A
2002-07-22HK$5.61 1.41%
2002-04-22HK$5.53N/A
2002-01-16HK$5.53N/A
2001-10-23HK$5.53N/A
2001-07-03HK$5.53 1.43%
2001-04-19HK$5.45N/A
2001-01-17HK$5.45N/A
2000-10-17HK$5.45 1.45%
2000-07-18HK$5.38N/A
2000-04-19HK$5.38N/A
2000-01-13HK$5.38N/A
1999-10-18HK$5.38N/A
1999-07-23HK$5.38 1.47%
1999-04-16HK$5.30 1.49%
1998-12-29HK$5.22 3.88%
1998-10-21HK$5.02-0.77%
1998-07-17HK$5.06 1.56%
1998-04-17HK$4.99 1.59%
1997-12-29HK$4.91 1.61%
1997-10-22HK$4.83 1.64%
1997-07-17HK$4.75 3.39%
1997-04-11HK$4.60N/A
1996-12-27HK$4.60N/A
1996-10-18HK$4.60 1.72%
1996-07-18HK$4.52N/A
1996-04-17HK$4.52 5.45%
1995-12-20HK$4.28 22.22%
1995-10-11HK$3.51N/A

Dividend payments for similar companies or competitors

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