Dividend history for Hysan Development
(0014.HK)
Hysan Development
(stock symbol: 0014.HK) made a total of 49 dividend payments. The sum of all dividends (adjusted for stock splits) is : $2.85 Dividend yield (TTM) : 9.02% See Hysan Development
dividend yield history
Dividend payments for Hysan Development
(0014.HK) from 2000 to 2024
Annual dividend payments
Year
Dividend (stock split adjusted)
Change
2024 $0.10 -43.75% 2023 $0.18 N/A 2022 $0.18 N/A 2021 $0.18 N/A 2020 $0.18 N/A 2019 $0.18 4.35% 2018 $0.18 2.22% 2017 $0.17 1.50% 2016 $0.17 6.40% 2015 $0.16 5.93% 2014 $0.15 18.00% 2013 $0.13 23.46% 2012 $0.10 8.00% 2011 $0.09581 10.29% 2010 $0.08686 N/A 2009 $0.08686 9.68% 2008 $0.07920 19.23% 2007 $0.06643 15.56% 2006 $0.05748 12.50% 2005 $0.05110 9.59% 2004 $0.04663 N/A 2003 $0.04663 -3.95% 2002 $0.04854 -7.32% 2001 $0.05237 N/A 2000 $0.05237 N/A
List of all dividend payments
Date
Dividend (stock split adjusted)
Change
2024-03-06 $0.10 200.00% 2023-08-23 $0.03449 -76.92% 2023-03-02 $0.15 333.33% 2022-09-02 $0.03449 -76.92% 2022-03-09 $0.15 333.33% 2021-08-24 $0.03449 -76.92% 2021-03-10 $0.15 333.33% 2020-08-21 $0.03449 -76.92% 2020-03-04 $0.15 333.33% 2019-08-26 $0.03449 -76.92% 2019-03-06 $0.15 333.33% 2018-08-20 $0.03449 -75.68% 2018-03-13 $0.14 326.92% 2017-08-17 $0.03321 -76.15% 2017-03-07 $0.14 319.23% 2016-08-15 $0.03321 -75.70% 2016-03-21 $0.14 328.00% 2015-08-18 $0.03194 -75.00% 2015-03-24 $0.13 334.78% 2014-08-21 $0.02938 -75.79% 2014-03-20 $0.12 331.82% 2013-08-16 $0.02810 -71.79% 2013-03-19 $0.09964 358.82% 2012-08-16 $0.02172 -73.44% 2012-05-16 $0.08175 326.67% 2011-08-19 $0.01916 -75.00% 2011-05-03 $0.07664 328.57% 2010-08-20 $0.01788 -74.07% 2010-05-05 $0.06898 285.71% 2009-08-21 $0.01788 -74.07% 2009-05-12 $0.06898 285.71% 2008-08-15 $0.01788 -70.83% 2008-05-07 $0.06132 300.00% 2007-08-28 $0.01533 -70.00% 2007-05-02 $0.05110 300.00% 2006-08-23 $0.01277 -71.43% 2006-05-02 $0.04471 250.00% 2005-08-24 $0.01277 -66.67% 2005-05-04 $0.03832 200.00% 2004-09-02 $0.01277 -62.26% 2004-05-05 $0.03385 165.00% 2003-09-02 $0.01277 -62.26% 2003-05-06 $0.03385 165.00% 2002-09-12 $0.01277 -64.29% 2002-05-08 $0.03577 180.00% 2001-09-17 $0.01277 -67.74% 2001-05-02 $0.03960 181.82% 2000-09-26 $0.01405 -63.33% 2000-05-02 $0.03832 N/A