Perfect Group International Holdings Limited announced final dividend of HKD 0.02 per share For the financial year end 31 December 2021. Ex-dividend date 08 June 2022, Record date 15 June 2022 and Payment date 21 June 2022.
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|
5-day change | 1st Jan Change | ||
0.224 HKD | +8.74% | +14.29% | +28.74% |
Annual profits - Rate of surprise
1st Jan change | Capi. | |
---|---|---|
+28.74% | 3.53Cr | |
-11.47% | 3.5TCr | |
-8.43% | 1.36TCr | |
+24.52% | 1.32TCr | |
+14.06% | 426.46Cr | |
+14.69% | 263.2Cr | |
+6.39% | 242.62Cr | |
+2.55% | 164.37Cr | |
-16.58% | 136.19Cr | |
-18.97% | 107.57Cr |
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- Perfect Group International Holdings Limited Approves Final Dividend for the Year Ended December 31, 2021, Payable on June 21, 2022