Viscofan
VIS.MC
#3625
Rank
HK$23.16 B
Marketcap
HK$507.97
Share price
0.00%
Change (1 day)
11.31%
Change (1 year)

Dividend history for Viscofan (VIS.MC)

Viscofan (stock symbol: VIS.MC) made a total of 45 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$193.43
Dividend yield (TTM) : 4.98% See Viscofan dividend yield history

Dividend payments for Viscofan (VIS.MC) from 2000 to 2024

Annual dividend payments

Year Dividend (stock split adjusted) Change
2024 HK$13.51-17.73%
2023 HK$16.42 6.01%
2022 HK$15.49 8.28%
2021 HK$14.30-28.39%
2020 HK$19.98 47.50%
2019 HK$13.54-5.33%
2018 HK$14.30 13.42%
2017 HK$12.61 7.19%
2016 HK$11.77 11.74%
2015 HK$10.53 7.80%
2014 HK$9.77 4.53%
2013 HK$9.34 6.77%
2012 HK$8.75 83.33%
2011 HK$4.77-14.16%
2010 HK$5.56 41.29%
2009 HK$3.94 144.74%
2008 HK$1.61 35.71%
2007 HK$1.19 79.49%
2006 HK$0.66N/A
2005 HK$0.66-56.67%
2004 HK$1.52 130.77%
2003 HK$0.66-23.53%
2002 HK$0.86 6.07%
2001 HK$0.81-5.88%
2000 HK$0.86N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2024-05-28HK$13.51 14.00%
2023-12-18HK$11.85 159.26%
2023-06-06HK$4.57-61.43%
2022-12-20HK$11.85 225.58%
2022-05-31HK$3.64-69.29%
2021-12-20HK$11.85 382.76%
2021-06-01HK$2.45-79.29%
2020-12-18HK$11.85 45.83%
2020-06-02HK$8.13 47.69%
2019-12-17HK$5.50-31.58%
2019-06-04HK$8.04 48.44%
2018-12-18HK$5.42-30.43%
2018-06-05HK$7.79 607.69%
2018-03-20HK$1.10-79.03%
2017-12-19HK$5.25-28.74%
2017-06-06HK$7.36 52.63%
2016-12-20HK$4.82-30.49%
2016-06-06HK$6.94 57.69%
2015-12-29HK$4.40-28.18%
2015-06-04HK$6.13 60.89%
2014-12-29HK$3.81-36.08%
2014-06-04HK$5.96 71.71%
2013-12-23HK$3.47-40.92%
2013-06-04HK$5.87 73.50%
2012-12-20HK$3.39-36.91%
2012-06-05HK$5.37 76.11%
2011-12-22HK$3.05 76.47%
2011-05-05HK$1.73-32.00%
2010-12-22HK$2.54-15.97%
2010-06-23HK$3.02 37.31%
2009-12-22HK$2.20 26.83%
2009-01-28HK$1.74 7.89%
2008-01-21HK$1.61 35.71%
2007-01-30HK$1.19 79.49%
2006-01-27HK$0.66N/A
2005-01-27HK$0.66-23.53%
2004-07-05HK$0.86 30.77%
2004-01-29HK$0.66N/A
2003-01-29HK$0.66 44.44%
2002-07-04HK$0.46 12.50%
2002-01-29HK$0.41-0.17%
2001-07-04HK$0.41N/A
2001-01-29HK$0.41-11.11%
2000-07-05HK$0.46 12.50%
2000-01-31HK$0.41N/A