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HK Stocks Avg Yield
Peers Avg Yield
HSI Cons Avg Yield
5.73%
4.67%
4.33%
CKH HOLDINGS
3.60%
Yield Calculations
HK Stocks Average Yield
Refers to the average yield of all stocks listed in HK which have dividend paid in the past year. 1011 stocks have paid dividend in the past year; equivalent to 43% of all stocks listed in HK.
Peers Average Yield
Refers to the average yield of stocks in the same industry which have dividend paid in the past year. 17 stocks have paid dividend in the past year; equivalent to 62% of all stocks in the same industry.
HSI Constituents Average Yield
Refers to the average yield of all HSI constituents which have dividend paid in the past year. 50 constituents have paid dividend in the past year; equivalent to 100% of all HSI constituents.
Yield TTM Calculations
HK Stocks Average Yield TTM
Refers to the average yield of all stocks listed in HK which have dividend paid in the past 12 months. 1019 stocks have paid dividend in the past 12 months; equivalent to 43% of all stocks listed in HK.
Peers Average Yield TTM
Refers to the average yield of stocks in the same industry which have dividend paid in the past 12 months. 17 stocks have paid dividend in the past 12 months; equivalent to 62% of all stocks in the same industry.
HSI Constituents Average Yield TTM
Refers to the average yield of all HSI constituents which have dividend paid in the past 12 months. 50 constituents have paid dividend in the past 12 months; equivalent to 100% of all HSI constituents.
Dividend History
Dividend Type
Announce Date Year Ended Event Particular Type Ex-Date Book Close Date Payable Date
2018/08/02 2018/12 Interim D:HKD 0.8700 Cash 2018/09/03 2018/09/04 2018/09/13
2018/03/16 2017/12 Final D:HKD 2.0700 Cash 2018/05/15 2018/05/16 2018/05/31
2017/08/03 2017/12 Interim D:HKD 0.7800 Cash 2017/09/04 2017/09/05 2017/09/14
2017/03/22 2016/12 Final D:HKD 1.9450 Cash 2017/05/16 2017/05/17 2017/05/31
2016/08/11 2016/12 Interim D:HKD 0.7350 Cash 2016/09/09 2016/09/12 2016/09/22
2016/03/17 2015/12 Final D:HKD 1.8500 Cash 2016/05/18 2016/05/19 2016/06/01
2015/08/25 2015/12 Interim D:HKD 0.7000 Cash 2015/09/22 2015/09/23 2015/10/06
2015/02/26 2014/12 Interim 2 D:HKD 3.0160(instead of Fin Div) Cash 2015/03/11 2015/03/17 2015/04/15
2015/02/05 - Special Withdrawal of Listing - 2015/03/18 - -
2015/01/09 - Special Other distribution: 1 CK Hutchison Holdings Limited share for 1 Scheme share Scrip 2015/03/18 - -
2015/01/09 - Special Distribution in specie: 1 Cheung Kong Property Holdings Limited share for 1 CK Hutchison Holdings Limited share Scrip 2015/05/27 2015/05/29-2015/06/02 2015/06/02
2014/07/31 2014/12 Interim D:HKD 0.6380 Cash 2014/09/01 2014/09/02 2014/09/12
2014/03/21 2014/12 Special SD:HKD 7.0000 Cash 2014/05/05 2014/05/07 2014/05/14
2014/02/28 2013/12 Final D:HKD 2.9000 Cash 2014/05/21 2014/05/22 2014/06/05
2013/08/01 2013/12 Interim D:HKD 0.5800 Cash 2013/09/03 2013/09/04 2013/09/13
2013/03/26 2012/12 Final D:HKD 2.6300 Cash 2013/05/24 2013/05/27 2013/06/07
2012/10/11 - Special Preferential Offer: Assured entitlement by way of preferential offering of Horizon Hospitality Investments and Horizon Hospitality (Holdings) share stapled units - - - -
2012/08/02 2012/12 Interim D:HKD 0.5300 Cash 2012/09/11 2012/09/13-2012/09/20 2012/09/21
2012/03/29 2011/12 Final D:HKD 2.6300 Cash 2012/05/30 - 2012/06/14
2011/08/04 2011/12 Interim D:HKD 0.5300 Cash 2011/09/12 2011/09/15-2011/09/22 2011/09/23
2011/03/29 2010/12 Final D:HKD 2.4500 Cash 2011/05/11 2011/05/13-2011/05/20 2011/05/25
2010/08/05 2010/12 Interim D:HKD 0.5000 Cash 2010/09/10 2010/09/14-2010/09/21 2010/09/22
2010/03/30 2009/12 Final D:HKD 2.2000 Cash 2010/05/18 2010/05/20-2010/05/27 2010/06/01
2009/08/13 2009/12 Interim D:HKD 0.5000 Cash 2009/09/24 2009/09/28-2009/10/05 2009/10/06
2009/03/26 2008/12 Final D:HKD 1.9500 Cash 2009/05/12 2009/05/14-2009/05/21 2009/05/26
2008/08/21 2008/12 Interim D:HKD 0.5000 Cash 2008/09/29 2008/10/02-2008/09/09 2008/10/10
2008/03/27 2007/12 Final D: HKD 1.9500 Cash 2008/05/13 2008/05/15-2008/05/22 2008/05/27
2007/09/12 2007/12 Interim D: HKD 0.5000 Cash 2007/10/02 2007/10/04-2007/10/11 2007/10/12
2007/03/22 2006/12 Final D: HKD 1.7400 Cash 2007/05/08 2007/05/10-2007/05/17 2007/05/22
2006/08/24 2006/12 Interim D: HKD 0.4600 Cash 2006/10/03 2006/10/05-2006/10/12 2006/10/13
2006/03/23 2005/12 Final D: HKD 1.5800 Cash 2006/05/09 2006/05/11-2006/05/18 2006/05/23
2005/10/28 2005/12 Special PREFERENTIAL OFFER: 1 RESERVED PROSPERITY REAL ESTATE INVESTMENT TRUST UNIT FOR 32 SHARES - 2005/11/10 2005/11/12-2005/11/12 -
2005/08/25 2005/12 Interim D: HKD 0.4200 Cash 2005/10/04 2005/10/06-2005/10/13 2005/10/14
2005/03/31 2004/12 Final D: HKD 1.4200 Cash 2005/05/10 2005/05/12-2005/05/19 2005/05/24
2004/08/19 2004/12 Interim D: HKD 0.3800 Cash 2004/10/05 2004/10/07-2004/10/14 2004/10/15
2004/03/18 2003/12 Final D: HKD 1.3000 Cash 2004/05/11 2004/05/13-2004/05/20 2004/05/25
2003/08/21 2003/12 Interim D: HKD 0.3800 Cash 2003/10/07 2003/10/09-2003/10/16 2003/10/17
2003/03/20 2002/12 Final D: HKD 1.2200 Cash 2003/05/13 2003/05/15-2003/05/22 2003/05/27
2002/08/22 2002/12 Interim D: HKD 0.3800 Cash 2002/10/08 2002/10/10-2002/10/17 2002/10/18
2002/06/06 2002/12 Special PREFERENTIAL OFFER: ONE CK LIFE SCIENCES INTERNATIONAL (HOLDINGS) INC. RESERVED SHARE FOR EVERY 25 CHEUNG KONG (HOLDINGS) SHARES - 2002/06/19 2002/06/21-2002/06/21 -
2002/03/21 2001/12 Final D: HKD 1.2200 Cash 2002/05/14 2002/05/16-2002/05/23 2002/05/28
2001/08/23 2001/12 Interim D: HKD 0.3800 Cash 2001/10/09 2001/10/11-2001/10/18 2001/10/19
2001/03/22 2000/12 Final D: HKD 1.2200 Cash 2001/05/15 2001/05/17-2001/05/24 2001/05/29
2000/08/24 2000/12 Interim D: HKD 0.3800 Cash 2000/10/10 2000/10/12-2000/10/19 2000/10/20
Last Update: 2018/08/02
Dividend Policy Trend and Dividend History were not adjusted by the changes of the capital structure
 
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