Housing Development Finance Corporation
HDFC.NS
#398
Rank
S$78.37 B
Marketcap
S$42.33
Share price
0.28%
Change (1 day)
N/A
Change (1 year)
Housing Development Finance Corporation or HDFC is an Indian company with headquarters in Mumbai. The company mainly offers home building loans and HDFC's subsidiaries include the HDFC Bank.

Dividend history for Housing Development Finance Corporation (HDFC.NS)

Housing Development Finance Corporation (stock symbol: HDFC.NS) made a total of 29 dividend payments.
The sum of all dividends (adjusted for stock splits) is : S$4.48
Dividend yield (TTM) : 1.61% See Housing Development Finance Corporation dividend yield history

Dividend payments for Housing Development Finance Corporation (HDFC.NS) from 2002 to 2023

Annual dividend payments

Year Dividend (stock split adjusted) Change
2023 S$0.60 46.67%
2022 S$0.41 30.43%
2021 S$0.31-45.24%
2020 S$0.57 9.09%
2019 S$0.52 92.50%
2018 S$0.27 11.11%
2017 S$0.24 5.88%
2016 S$0.23 13.33%
2015 S$0.20 7.14%
2014 S$0.19 12.00%
2013 S$0.17 13.64%
2012 S$0.15 22.22%
2011 S$0.12 25.00%
2010 S$0.09741 20.00%
2009 S$0.08117 20.00%
2008 S$0.06764 13.64%
2007 S$0.05953 10.00%
2006 S$0.05411 17.65%
2005 S$0.04600 25.93%
2004 S$0.03653 22.73%
2003 S$0.02976-12.00%
2002 S$0.03382N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2023-05-16S$0.60 46.67%
2022-05-31S$0.41 30.43%
2021-05-31S$0.31 9.52%
2020-07-10S$0.28N/A
2020-07-09S$0.28 20.00%
2019-07-22S$0.24N/A
2019-07-19S$0.24 400.00%
2019-03-15S$0.04735-78.79%
2018-07-19S$0.22 371.43%
2018-03-22S$0.04735-76.67%
2017-07-14S$0.20 400.00%
2017-03-09S$0.04059-78.57%
2016-07-15S$0.19 366.67%
2016-03-30S$0.04059-76.92%
2015-07-15S$0.18 550.00%
2015-03-25S$0.02706-85.71%
2014-07-04S$0.19 12.00%
2013-06-27S$0.17 13.64%
2012-06-22S$0.15 22.22%
2011-06-22S$0.12 25.00%
2010-06-29S$0.09741 20.00%
2009-07-06S$0.08117 20.00%
2008-06-27S$0.06764 13.64%
2007-06-12S$0.05953 10.00%
2006-06-30S$0.05411 17.65%
2005-06-29S$0.04600 25.93%
2004-07-02S$0.03653 22.73%
2003-07-01S$0.02976-12.00%
2002-07-03S$0.03382N/A