Vitasoy (stock symbol: 0345.HK) made a total of 49 dividend payments. The sum of all dividends (adjusted for stock splits) is : $0.94 Dividend yield (TTM) : 1.01%See Vitasoy dividend yield history
Dividend payments for Vitasoy (0345.HK) from 2000 to 2024
Annual dividend payments
Year
Dividend (stock split adjusted)
Change
2024
$0.02268
145.24%
2023
$0.009249
223.08%
2022
$0.002863
-95.52%
2021
$0.06386
-9.94%
2020
$0.07091
-22.97%
2019
$0.09205
18.75%
2018
$0.07751
13.92%
2017
$0.06804
1.98%
2016
$0.06672
21.20%
2015
$0.05505
23.76%
2014
$0.04448
2.02%
2013
$0.04360
8.20%
2012
$0.04030
N/A
2011
$0.04030
38.64%
2010
$0.02907
8.20%
2009
$0.02687
6.09%
2008
$0.02532
21.05%
2007
$0.02092
N/A
2006
$0.02092
-25.78%
2005
$0.02819
50.59%
2004
$0.01872
8.97%
2003
$0.01718
-1.27%
2002
$0.01740
N/A
2001
$0.01740
8.72%
2000
$0.01600
N/A
List of all dividend payments
Date
Dividend (stock split adjusted)
Change
2024-12-10
$0.008808
-36.51%
2024-08-23
$0.01387
350.00%
2023-12-05
$0.003083
N/A
2023-09-04
$0.003083
N/A
2023-08-31
$0.003083
7.69%
2022-12-02
$0.002863
-95.52%
2021-08-27
$0.06386
663.16%
2020-12-03
$0.008368
-86.62%
2020-08-24
$0.06254
647.37%
2019-12-05
$0.008368
-90.00%
2019-09-09
$0.08368
900.00%
2018-12-06
$0.008368
-87.90%
2018-09-05
$0.06915
726.32%
2017-12-12
$0.008368
-85.98%
2017-09-08
$0.05968
613.16%
2016-12-13
$0.008368
-85.66%
2016-09-06
$0.05836
597.37%
2015-12-11
$0.008368
-82.08%
2015-09-11
$0.04668
562.50%
2014-12-12
$0.007047
-81.18%
2014-09-08
$0.03744
431.25%
2013-12-13
$0.007047
-80.72%
2013-09-10
$0.03655
418.75%
2012-12-14
$0.007047
-78.81%
2012-08-31
$0.03325
371.88%
2011-12-12
$0.007047
-78.81%
2011-08-25
$0.03325
371.88%
2010-12-07
$0.007047
-68.00%
2010-08-24
$0.02202
212.50%
2009-12-09
$0.007047
-64.44%
2009-08-27
$0.01982
221.43%
2008-12-11
$0.006166
-67.82%
2008-08-21
$0.01916
210.71%
2007-12-12
$0.006166
-58.21%
2007-08-30
$0.01475
139.29%
2006-12-20
$0.006166
-58.21%
2006-09-01
$0.01475
139.29%
2005-12-28
$0.006166
-72.00%
2005-08-26
$0.02202
257.14%
2004-12-28
$0.006166
-50.88%
2004-09-01
$0.01255
103.57%
2003-12-23
$0.006166
-44.00%
2003-08-26
$0.01101
78.57%
2002-12-19
$0.006166
-45.10%
2002-08-27
$0.01123
82.14%
2001-12-17
$0.006166
-45.10%
2001-08-29
$0.01123
82.14%
2000-12-08
$0.006166
-37.31%
2000-08-28
$0.009836
N/A
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