Item | Dividend Policy | Declared | Paid | Value |
1 | Dividend for the year ended December 31,2011 | 2012/6/20 | 2012/8/17 | RMB0.09(equivalent HK$0.11) |
2 | Special Dividend 2012 | 2012/7/26 | 2012-8-24(A-Share) | RMB0.32(equivalent HK$0.39) |
2012-9-28 (H-Share) |
3 | Annual Dividend of 2013 | 2014/5/20 | 2014/7/15 | RMB0.15(equivalent HK$0.19) |
4 | Annual Dividend of 2014 | 2015/6/24 | 2015/8/20 | RMB0.21(equivalent HK$0.27) |
5 | Annual Dividend of 2015 | 2016/6/27 | 2016/8/10 | RMB0.28(equivalent HK$0.33) |
6 | Annual Dividend of 2016 | 2017/6/27 | 2016/8/10 | RMB0.48(equivalent HK$0.55) |
7 | Annual Dividend of 2017 | 2017/6/27 | 2017/8/10 | RMB0.52(equivalent HK$0.597) |
8 | Annual Dividend of 2018 | 2019/6/27 | 2019/8/9 | RMB0.77(equivalent HK$0.877) |
9 | Annual Dividend of 2019 | 2020/6/23 | 2020/8/7 | RMB1.41(equivalent HK$1.542) |
10 | Annual Dividend of 2020 | 2021/6/29 | 2021/8/6 | RMB1.39(equivalent HK$1.668) |
11 | Annual Dividend of 2021 | 2022/6/28 | 2022/8/10 | RMB1.44(equivalent HK$1.688) |
12 | Annual Dividend of 2022 | 2023/6/28 | 2023/8/10 | RMB1.08(equivalent HK$1.178) |