Tiger Brands
TBS.JO
#3948
Rank
HK$24.96 B
Marketcap
HK$164.84
Share price
-1.47%
Change (1 day)
42.50%
Change (1 year)
Categories

Dividend history for Tiger Brands (TBS.JO)

Tiger Brands (stock symbol: TBS.JO) made a total of 51 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$117.48
Dividend yield (TTM) : 16.39% See Tiger Brands dividend yield history

Dividend payments for Tiger Brands (TBS.JO) from 2000 to 2026

Annual dividend payments

Year Dividend (stock split adjusted) Change
2026 HK$19.31 70.15%
2025 HK$11.35 126.74%
2024 HK$5.01 4.93%
2023 HK$4.77 17.80%
2022 HK$4.05-16.57%
2021 HK$4.85 128.11%
2020 HK$2.13-67.34%
2019 HK$6.52 23.06%
2018 HK$5.29N/A
2017 HK$5.29 10.88%
2016 HK$4.78 2.53%
2015 HK$4.66 7.47%
2014 HK$4.33 2.20%
2013 HK$4.24 7.45%
2012 HK$3.95 6.34%
2011 HK$3.71 3.84%
2010 HK$3.57-7.25%
2009 HK$3.85 46.92%
2008 HK$2.62-15.21%
2007 HK$3.09 14.73%
2006 HK$2.70 35.80%
2005 HK$1.99 30.23%
2004 HK$1.52 7.24%
2003 HK$1.42 267.09%
2002 HK$0.39-62.91%
2001 HK$1.04N/A
2000 HK$1.04N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2026-01-14HK$19.31 141.51%
2025-07-02HK$8.00 138.45%
2025-01-15HK$3.35 95.43%
2024-07-03HK$1.72-47.84%
2024-01-17HK$3.29 109.69%
2023-07-05HK$1.57-51.00%
2023-01-18HK$3.20 104.06%
2022-06-29HK$1.57-36.76%
2022-01-12HK$2.48 58.12%
2021-06-30HK$1.57-52.24%
2021-01-13HK$3.28 54.38%
2020-01-08HK$2.13-30.78%
2019-06-26HK$3.07-10.68%
2019-01-09HK$3.44 85.71%
2018-06-27HK$1.85-46.15%
2018-01-10HK$3.44 85.71%
2017-06-28HK$1.85-46.15%
2017-01-11HK$3.44 93.39%
2016-06-27HK$1.78-40.59%
2016-01-11HK$3.00 80.24%
2015-06-22HK$1.66-44.52%
2015-01-05HK$3.00 85.71%
2014-06-23HK$1.61-40.72%
2014-01-06HK$2.72 79.03%
2013-06-24HK$1.52-44.14%
2013-01-07HK$2.72 88.14%
2012-06-25HK$1.45-42.16%
2012-01-09HK$2.50 81.49%
2011-06-27HK$1.38-40.97%
2011-01-10HK$2.33 76.30%
2010-07-05HK$1.32-41.18%
2010-01-11HK$2.25 87.35%
2009-06-29HK$1.20-54.71%
2009-01-12HK$2.65 120.82%
2008-06-30HK$1.20-15.52%
2008-01-07HK$1.42 36.15%
2007-07-09HK$1.04-49.04%
2007-01-08HK$2.05 125.95%
2006-07-10HK$0.91-49.32%
2006-01-09HK$1.79 170.37%
2005-07-04HK$0.66-50.00%
2005-01-10HK$1.32 170.00%
2004-07-05HK$0.49-52.61%
2004-01-05HK$1.03 167.09%
2003-06-30HK$0.39-62.56%
2003-01-06HK$1.03 167.09%
2002-07-01HK$0.39-45.52%
2001-12-28HK$0.71 113.24%
2001-06-25HK$0.33-53.10%
2000-12-18HK$0.71 113.24%
2000-06-12HK$0.33N/A