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03918 NAGACORP
RT Nominal down3.250 -0.020 (-0.612%)
Announcement Date Financial Year Particular Ex-date Book Closed Date (From) Book Closed Date (Until) Payable Date
27/08/20242024/12No Int Div--------
19/02/20242023/12No Fin Div--------
19/07/20232023/12No Int Div--------
08/02/20232022/12Fin Div USD 0.0075 or HKD 0.0581, scrip dividend26/04/202328/04/2023--16/05/2023
18/07/20222022/12Int Div USD 0.0073, scrip dividend14/09/202216/09/2022--29/09/2022
07/02/20222021/12No Fin Div--------
30/08/20212021/12No Int Div--------
08/03/20212020/12Fin Div USD 0.0188 or HKD 0.145701/06/202103/06/2021--05/07/2021
27/08/20202020/12Int Div USD 0.0029 or HKD 0.022509/09/202011/09/2020--23/09/2020
10/02/20202019/12Fin Div USD 0.0509 or HKD 0.394515/05/202019/05/2020--01/06/2020
23/07/20192019/12Int Div USD 0.0339 or HKD 0.262701/08/201905/08/201908/08/201920/08/2019
13/02/20192018/12Fin Div USD 0.0291 or HKD 0.225502/05/201906/05/2019--17/05/2019
24/07/20182018/12Int Div USD 0.0249 or HKD 0.19321/08/201823/08/2018--10/09/2018
06/02/20182017/12Fin Div USD 0.0145 or HKD 0.112403/05/201807/05/2018--17/05/2018
10/07/20172017/12Int Div USD 0.0208 or HKD 0.161208/08/201710/08/2017--22/08/2017
08/02/20172016/12Fin Div USD 0.0082 or HKD 0.063627/04/201702/05/2017--15/05/2017
08/08/20162016/12Int Div USD 0.0277 or HKD 0.214722/08/201624/08/2016--13/09/2016
01/02/20162015/12Fin Div USD 0.0189 or HKD 0.146522/04/201626/04/2016--10/05/2016
12/08/20152015/12Int Div USD 0.0267 or HKD 0.206926/08/201528/08/2015--17/09/2015
04/02/20152014/12Fin Div USD 0.0211 or HKD 0.163517/04/201521/04/2015--04/05/2015
06/08/20142014/12Int Div USD 0.0207 or HKD 0.160402/09/201404/09/2014--17/09/2014
12/02/20142013/12Fin Div USD 0.0238 or HKD 0.184511/04/201415/04/2014--29/04/2014
07/08/20132013/12Int Div USD 0.0193 or HKD 0.149622/08/201326/08/201327/08/201327/09/2013
06/02/20132012/12Fin Div USD 0.0233 or HKD 0.180629/05/201331/05/2013--13/06/2013
08/08/20122012/12Int Div USD 0.0151 or HKD 0.117822/08/201224/08/201228/08/201228/09/2012
22/02/20122011/12Fin Div USD 0.0155 or HKD 0.120929/05/201231/05/201205/06/201201/08/2012
08/08/20112011/12Int Div USD 0.0154 or HKD 0.120130/11/201102/12/201105/12/201109/12/2011
14/02/20112010/12Fin Div USD 0.0077 or HKD 0.0616/05/201118/05/201124/05/201101/08/2011
18/08/20102010/12Int Div USD 0.0071 or HKD 0.055402/11/201004/11/201005/11/201010/11/2010
09/02/20102009/12Fin Div USD 0.004 or HKD 0.031220/05/201025/05/201031/05/201012/08/2010
05/09/20092009/12Int Div USD 0.0033 or HKD 0.025713/11/200917/11/200919/11/200929/01/2010
26/02/20092008/12Fin Div USD 0.0013, 60% in scrip form08/05/200912/05/200918/05/200928/07/2009
25/08/20082008/12Int Div USD 0.0074 or HKD 0.05818/09/200822/09/200823/09/200830/09/2008
24/02/20082007/12Fin Div HKD 0.06 or USD 0.007707/05/200809/05/200815/05/200831/07/2008
17/09/20072007/12Int Div USD 0.0067 or HKD 0.052322/10/200724/10/200726/10/200702/11/2007
15/05/20072006/12Sp Div USD 0.0048 or HKD 0.037407/05/200709/05/200715/05/200715/06/2007
23/03/20072006/12No Fin Div--------
Remark: Real time quote last updated: 06/11/2024 15:40
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