Dividend history for Sun Hung Kai Properties
(0016.HK)
Sun Hung Kai Properties
(stock symbol: 0016.HK) made a total of 47 dividend payments. The sum of all dividends (adjusted for stock splits) is : $9.60 Dividend yield (TTM) : 8.07% See Sun Hung Kai Properties
dividend yield history
Dividend payments for Sun Hung Kai Properties
(0016.HK) from 2000 to 2022
Annual dividend payments
Year
Dividend (stock split adjusted)
Change
2022 $1.11 74.75% 2021 $0.63 N/A 2020 $0.63 N/A 2019 $0.63 6.45% 2018 $0.60 13.41% 2017 $0.53 6.49% 2016 $0.49 14.93% 2015 $0.43 N/A 2014 $0.43 N/A 2013 $0.43 N/A 2012 $0.43 N/A 2011 $0.43 24.07% 2010 $0.35 8.00% 2009 $0.32 N/A 2008 $0.32 8.70% 2007 $0.29 4.55% 2006 $0.28 N/A 2005 $0.28 33.33% 2004 $0.21 3.13% 2003 $0.20 39.13% 2002 $0.15 -25.81% 2001 $0.20 -11.43% 2000 $0.22 N/A
List of all dividend payments
Date
Dividend (stock split adjusted)
Change
2022-11-17 $0.47 N/A 2022-11-07 $0.47 196.00% 2022-03-09 $0.16 -66.22% 2021-11-08 $0.47 196.00% 2021-03-10 $0.16 -66.22% 2020-11-09 $0.47 196.00% 2020-03-11 $0.16 -66.22% 2019-11-11 $0.47 196.00% 2019-03-12 $0.16 -63.77% 2018-11-12 $0.44 187.50% 2018-03-12 $0.15 -60.00% 2017-11-13 $0.38 172.73% 2017-03-13 $0.14 -60.71% 2016-11-14 $0.36 166.67% 2016-03-10 $0.13 -56.25% 2015-11-16 $0.31 152.63% 2015-03-12 $0.12 -60.42% 2014-11-18 $0.31 152.63% 2014-03-13 $0.12 -60.42% 2013-11-18 $0.31 152.63% 2013-03-13 $0.12 -60.42% 2012-11-19 $0.31 152.63% 2012-03-12 $0.12 -60.42% 2011-12-12 $0.31 152.63% 2011-03-11 $0.12 -48.65% 2010-11-23 $0.24 117.65% 2010-03-24 $0.11 -50.00% 2009-11-24 $0.22 112.50% 2009-03-24 $0.10 -52.94% 2008-11-25 $0.22 112.50% 2008-03-19 $0.10 -50.00% 2007-11-27 $0.20 128.57% 2007-03-19 $0.08964 -53.33% 2006-11-28 $0.19 114.29% 2006-03-16 $0.08964 -53.33% 2005-11-29 $0.19 114.29% 2005-03-16 $0.08964 -33.33% 2004-11-30 $0.13 75.00% 2004-03-24 $0.07683 -40.00% 2003-11-07 $0.13 66.67% 2003-03-26 $0.07683 N/A 2002-11-26 $0.07683 9.09% 2002-03-26 $0.07043 -45.00% 2001-11-20 $0.13 81.82% 2001-04-02 $0.07043 -54.17% 2000-11-21 $0.15 118.18% 2000-04-11 $0.07043 N/A