Dividend history for Miramar Hotel and Investment (0071.HK)
Miramar Hotel and Investment (stock symbol: 0071.HK) made a total of 48 dividend payments. The sum of all dividends (adjusted for stock splits) is : $1.31 Dividend yield (TTM) : 5.15% See Miramar Hotel and Investment dividend yield history
Dividend payments for Miramar Hotel and Investment (0071.HK) from 2000 to 2023
Annual dividend payments
Year
Dividend (stock split adjusted)
Change
2023 $0.06660 10.64% 2022 $0.06019 -2.08% 2021 $0.06147 -14.29% 2020 $0.07172 -8.20% 2019 $0.07812 1.67% 2018 $0.07684 5.26% 2017 $0.07300 5.56% 2016 $0.06916 3.85% 2015 $0.06660 18.18% 2014 $0.05635 4.76% 2013 $0.05379 7.69% 2012 $0.04995 5.41% 2011 $0.04739 48.00% 2010 $0.03202 -44.44% 2009 $0.05763 87.50% 2008 $0.03074 -38.46% 2007 $0.04995 N/A 2006 $0.04995 5.41% 2005 $0.04739 5.71% 2004 $0.04482 -23.91% 2003 $0.05891 130.00% 2002 $0.02561 -37.50% 2001 $0.04098 10.34% 2000 $0.03714 N/A
List of all dividend payments
Date
Dividend (stock split adjusted)
Change
2023-09-25 $0.02946 -20.69% 2023-06-12 $0.03714 38.10% 2022-09-23 $0.02689 -19.23% 2022-06-09 $0.03330 30.00% 2021-09-23 $0.02561 -28.57% 2021-06-09 $0.03586 27.27% 2020-09-23 $0.02818 -35.29% 2020-06-16 $0.04354 41.67% 2019-09-23 $0.03074 -35.14% 2019-06-06 $0.04739 54.17% 2018-09-26 $0.03074 -33.33% 2018-06-12 $0.04611 56.52% 2017-09-27 $0.02946 -32.35% 2017-06-05 $0.04354 70.00% 2016-09-28 $0.02561 -41.18% 2016-06-13 $0.04354 70.00% 2015-09-25 $0.02561 -37.50% 2015-06-12 $0.04098 88.24% 2014-09-26 $0.02177 -37.04% 2014-06-16 $0.03458 58.82% 2013-09-24 $0.02177 -32.00% 2013-06-11 $0.03202 56.25% 2012-09-24 $0.02049 -30.43% 2012-06-11 $0.02946 53.33% 2011-09-23 $0.01921 -31.82% 2011-05-20 $0.02818 46.67% 2010-09-24 $0.01921 50.00% 2010-06-11 $0.01281 -23.08% 2009-12-29 $0.01665 -23.53% 2009-08-31 $0.02177 13.33% 2009-01-02 $0.01921 -37.50% 2008-08-25 $0.03074 60.00% 2007-12-21 $0.01921 -37.50% 2007-08-16 $0.03074 60.00% 2006-12-20 $0.01921 -37.50% 2006-08-23 $0.03074 60.00% 2005-12-23 $0.01921 -31.82% 2005-08-19 $0.02818 46.67% 2004-12-23 $0.01921 -25.00% 2004-08-20 $0.02561 53.85% 2003-12-22 $0.01665 -35.00% 2003-08-20 $0.02561 53.85% 2003-01-09 $0.01665 -35.00% 2002-08-14 $0.02561 53.85% 2001-12-21 $0.01665 -31.58% 2001-08-08 $0.02433 46.15% 2000-12-22 $0.01665 -18.75% 2000-09-11 $0.02049 N/A