CK Asset Holdings Limited declared interim dividend of HKD 0.43 per share for the six months ended 30 June 2022. Record date is 06 September 2022. Payment date is 16 September 2022.
Ex-dividend date is 05 September 2022.
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5-day change | 1st Jan Change | ||
34 HKD | 0.00% | +1.80% | -13.27% |
25/04 | Hong Kong's CK Group to buy Northern Ireland natgas distributor for $945 mln | RE |
25/04 | Hong Kong's CK Group to buy Northern Ireland's natural gas operator Phoenix Energy | RE |
CK Asset Holdings Limited declared interim dividend of HKD 0.43 per share for the six months ended 30 June 2022. Record date is 06 September 2022. Payment date is 16 September 2022.
Ex-dividend date is 05 September 2022.
1st Jan change | Capi. | |
---|---|---|
-13.27% | 15.28B | |
+40.41% | 29.66B | |
-11.60% | 27.69B | |
+7.86% | 27.57B | |
+20.90% | 26.07B | |
+49.25% | 24.02B | |
+13.23% | 21.83B | |
-1.52% | 18.77B | |
+28.90% | 16.76B | |
+1.25% | 15.09B |