鹰君集团有限公司, 00041.HK - 派息纪录 |
公布日期 |
年度 |
派息事项 |
派息内容 |
方式 |
除净日 |
截止过户日期 |
派息日期 |
2024-03-06 |
2023/12 |
末期业绩 |
普通股息:港元 0.5 |
Cash |
2024-06-03 |
2024-06-05 - 2024-06-11 |
2024-06-20 |
2023-08-25 |
2023/12 |
中期业绩 |
普通股息:港元 0.37 |
Cash |
2023-09-22 |
2023-09-26 - 2023-10-03 |
2023-10-13 |
2023-03-03 |
2022/12 |
末期业绩 |
普通股息:港元 0.5000 |
Cash |
2023-05-23 |
2023-05-25 - 2023-05-31 |
2023-06-13 |
2022-08-26 |
2022/12 |
中期业绩 |
普通股息:港元 0.3300 |
Cash |
2022-09-23 |
2022-09-27 - 2022-10-03 |
2022-10-13 |
2022-02-25 |
2021/12 |
末期业绩 |
特别股息:港元 0.5000 |
Cash |
2022-05-11 |
2022-05-13 - 2022-05-18 |
2022-06-21 |
2021-08-26 |
2021/12 |
中期业绩 |
普通股息:港元 0.3300 |
Cash |
2021-09-23 |
2021-09-27 - 2021-10-04 |
2021-10-13 |
2021-02-26 |
2020/12 |
末期业绩 |
特别股息:港元 0.5000 |
Cash |
2021-05-11 |
2021-05-13 - 2021-05-18 |
2021-06-21 |
2020-08-27 |
2020/12 |
中期业绩 |
特别股息:港元 1.5000 |
Cash |
2020-09-24 |
2020-09-28 - 2020-10-06 |
2020-10-15 |
2020-02-25 |
2019/12 |
末期业绩 |
普通股息:港元 0.5000 |
Cash/Scrip |
2020-05-08 |
2020-05-12 - 2020-05-15 |
2020-06-17 |
2019-08-30 |
2019/12 |
中期业绩 |
普通股息:港元 0.3300 |
Cash |
2019-09-26 |
2019-09-30 - 2019-10-08 |
2019-10-17 |
2019-03-06 |
2018/12 |
末期业绩 |
普通股息:港元 0.5000 |
Cash/Scrip |
2019-05-27 |
2019-05-29 - 2019-06-03 |
2019-07-08 |
2018-08-23 |
2018/12 |
中期业绩 |
普通股息:港元 0.3300 |
Cash |
2018-09-27 |
2018-10-02 - 2018-10-08 |
2018-10-19 |
2018-02-28 |
2017/12 |
末期业绩 |
特别股息:港元 0.5000 |
Cash |
2018-04-27 |
2018-05-02 - 2018-05-07 |
2018-06-11 |
2017-08-24 |
2017/12 |
中期业绩 |
特别股息:港元 0.5000 |
Cash |
2017-09-28 |
2017-10-03 - 2017-10-09 |
2017-10-18 |
2017-02-28 |
2016/12 |
末期业绩 |
特别股息:港元 0.5000 |
Cash |
2017-05-15 |
2017-05-17 - 2017-05-22 |
2017-06-22 |
2016-08-17 |
2016/12 |
中期业绩 |
普通股息:港元 0.2700 |
Cash |
2016-09-28 |
2016-09-30 - 2016-10-05 |
2016-10-14 |
2016-03-01 |
2015/12 |
末期业绩 |
特别股息:港元 2.0000 |
Cash |
2016-05-13 |
2016-05-17 - 2016-05-20 |
2016-06-22 |
2015-08-20 |
2015/12 |
中期业绩 |
普通股息:港元 0.2700 |
Cash/Scrip |
2015-09-29 |
2015-10-02 - 2015-10-07 |
2015-10-16 |
2015-03-05 |
2014/12 |
末期业绩 |
普通股息:港元 0.4700 |
Cash/Scrip |
2015-05-06 |
2015-05-08 - 2015-05-13 |
2015-06-16 |
2014-08-21 |
2014/12 |
中期业绩 |
普通股息:港元 0.2700 |
Cash |
2014-09-29 |
2014-10-03 - 2014-10-08 |
2014-10-17 |
2014-02-26 |
2013/12 |
末期业绩 |
特别股息:港元 0.5000 |
Cash/Scrip |
2014-05-07 |
2014-05-09 - 2014-05-14 |
2014-06-18 |
2013-08-18 |
2013/12 |
中期业绩 |
特别股息:港元 1.0000 |
Cash |
2013-09-27 |
2013-10-02 - 2013-10-07 |
2013-10-16 |
2013-04-24 |
- |
特别报告 |
优先发售: 每持有15股股份的完整倍数可认购1个朗廷酒店投资及朗廷酒店投资有限公司股份合订单位发售价5.0000港元 |
- |
2013-05-08 |
2013-05-10 - 2013-05-15 |
1970-01-01 |
2013-02-27 |
2012/12 |
末期业绩 |
普通股息:港元 0.4300 |
Cash/Scrip |
2013-05-08 |
2013-05-10 - 2013-05-15 |
2013-06-21 |
2012-08-17 |
2012/12 |
中期业绩 |
普通股息:港元 0.2300 |
Cash |
2012-09-27 |
2012-10-03 - 2012-10-08 |
2012-10-16 |
2012-02-27 |
2011/12 |
末期业绩 |
普通股息:港元 0.4000 |
Cash/Scrip |
2012-05-15 |
2012-05-17 - 2012-05-22 |
2012-06-27 |
2011-08-19 |
2011/12 |
中期业绩 |
普通股息:港元 0.2100 |
Cash |
2011-09-29 |
2011-10-03 - 2011-10-07 |
2011-10-14 |
2011-02-23 |
2010/12 |
末期业绩 |
普通股息:港元 0.3800 |
Cash/Scrip |
2011-05-04 |
2011-05-06 - 2011-05-12 |
2011-06-17 |
2010-08-20 |
2010/12 |
中期业绩 |
普通股息:港元 0.1900 |
Cash |
2010-09-30 |
2010-10-05 - 2010-10-08 |
2010-10-15 |
2010-02-24 |
2009/12 |
末期业绩 |
普通股息:港元 0.3500 |
Cash/Scrip |
2010-05-05 |
2010-05-07 - 2010-05-12 |
2010-06-15 |
2009-08-26 |
2009/12 |
中期业绩 |
普通股息:港元 0.1700 |
Cash |
2009-10-02 |
2009-10-06 - 2009-10-09 |
2009-10-16 |
2009-03-23 |
2008/12 |
末期业绩 |
普通股息:港元 0.3500 |
Cash/Scrip |
2009-05-20 |
2009-05-22 - 2009-05-27 |
2009-06-26 |
2008-09-16 |
2008/12 |
中期业绩 |
特别股息:港元 2.7000 |
Cash |
2008-10-03 |
2008-10-08 - 2008-10-13 |
2008-10-22 |
2008-04-02 |
2007/12 |
末期业绩 |
普通股息: 港元 0.3500 |
Cash |
2008-05-13 |
2008-05-15 - 2008-05-23 |
2008-06-26 |
2007-09-18 |
2007/12 |
中期业绩 |
普通股息: 港元 0.1500 |
Cash |
2007-10-08 |
2007-10-10 - 2007-10-17 |
2007-10-25 |
2007-04-11 |
2006/12 |
末期业绩 |
普通股息: 港元 0.2500 |
Cash |
2007-05-16 |
2007-05-18 - 2007-05-25 |
2007-06-28 |
2006-09-20 |
2006/12 |
中期业绩 |
特別股息: 港元 5.0000 |
Cash |
2006-10-10 |
2006-10-12 - 2006-10-19 |
2006-10-26 |
2006-04-24 |
2005/12 |
特别报告 |
其他派送: 优先发售:每4股认购一个冠君产业信托保留基金单位 |
- |
2006-05-03 |
2006-05-08 - 2006-05-08 |
2006-05-23 |
2006-04-20 |
2005/12 |
末期业绩 |
普通股息:港元 0.2000 |
Cash |
2006-05-25 |
2006-05-29 - 2006-06-05 |
2006-07-11 |
2006-04-20 |
2005/12 |
末期业绩 |
股息:港元 0.2000 |
Cash |
2006-05-25 |
2006-05-29 - 2006-06-05 |
2006-07-11 |
2005-09-07 |
2005/12 |
中期业绩 |
普通股息: 港元 0.0350 |
Cash |
2005-10-04 |
2005-10-06 - 2005-10-13 |
2005-10-20 |
2005-03-08 |
2004/12 |
末期业绩 |
普通股息: 港元 0.1300 |
Cash |
2005-05-03 |
2005-05-05 - 2005-05-12 |
2005-06-16 |
2004-09-16 |
2004/12 |
中期业绩 |
普通股息: 港元 0.0350 |
Cash |
2004-10-13 |
2004-10-15 - 2004-10-21 |
2004-10-28 |
2004-03-08 |
2003/12 |
末期业绩 |
普通股息: 港元 0.1000 |
Cash |
2004-05-10 |
2004-05-12 - 2004-05-19 |
2004-06-23 |
2003-09-09 |
2003/12 |
中期业绩 |
普通股息: 港元 0.0300 |
Cash |
2003-10-08 |
2003-10-10 - 2003-10-16 |
2003-10-23 |
2003-03-11 |
2002/12 |
末期业绩 |
普通股息: 港元 0.1000 |
Cash |
2003-05-02 |
2003-05-06 - 2003-05-14 |
2003-06-16 |
2002-09-12 |
2002/12 |
中期业绩 |
普通股息: 港元 0.0500 |
Cash |
2002-10-09 |
2002-10-11 - 2002-10-17 |
2002-10-24 |
2002-03-12 |
2001/12 |
末期业绩 |
普通股息: 港元 0.1400 |
Cash |
2002-04-29 |
2002-05-02 - 2002-05-09 |
2002-06-06 |
2001-09-11 |
2001/12 |
中期业绩 |
普通股息: 港元 0.0700 |
Cash |
2001-10-08 |
2001-10-10 - 2001-10-16 |
2001-10-23 |
2001-03-13 |
2000/12 |
末期业绩 |
普通股息:港元 0.2000 |
Cash |
2001-04-27 |
2001-05-02 - 2001-05-09 |
2001-06-11 |
2000-09-18 |
2000/12 |
中期业绩 |
普通股息: 港元 0.1000 |
Cash |
2000-10-09 |
2000-10-11 - 2000-10-17 |
2000-10-24 |
说明:CA代表以现金方式派息;SC代表以实物方式派息;CS代表以现金或实物方式派息。
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