Thai Beverage
Y92.SI
#1707
Rank
£7.17 B
Marketcap
£0.29
Share price
0.00%
Change (1 day)
1.02%
Change (1 year)

Dividend history for Thai Beverage (Y92.SI)

Thai Beverage (stock symbol: Y92.SI) made a total of 40 dividend payments.
The sum of all dividends (adjusted for stock splits) is : £0.20
Dividend yield (TTM) : 4.66% See Thai Beverage dividend yield history

Dividend payments for Thai Beverage (Y92.SI) from 2006 to 2025

Annual dividend payments

Year Dividend (stock split adjusted) Change
2025 £0.01011-18.38%
2024 £0.01239-4.03%
2023 £0.01291 20.00%
2022 £0.01076-1.96%
2021 £0.01097 18.60%
2020 £0.009252-50.57%
2019 £0.01872 40.32%
2018 £0.01334 3.33%
2017 £0.01291-9.09%
2016 £0.01420 8.20%
2015 £0.01312 35.56%
2014 £0.009682 7.14%
2013 £0.009037 16.67%
2012 £0.007746 2.86%
2011 £0.007531 11.11%
2010 £0.006778-4.54%
2009 £0.007100 13.79%
2008 £0.006240 26.09%
2007 £0.004949 109.09%
2006 £0.002367N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2025-02-06£0.01011 231.81%
2024-05-27£0.003048-67.38%
2024-02-06£0.009342 189.46%
2023-05-25£0.003227-66.67%
2023-02-03£0.009682 200.00%
2022-05-26£0.003227-57.14%
2022-02-04£0.007531 133.33%
2021-05-27£0.003227-58.33%
2021-02-04£0.007746 260.00%
2020-05-27£0.002152-69.70%
2020-02-07£0.007100 120.00%
2019-05-22£0.003227-37.50%
2019-02-07£0.005164N/A
2019-02-06£0.005164N/A
2019-02-04£0.005164 60.00%
2018-05-25£0.003227-68.09%
2018-02-08£0.01011 135.00%
2017-05-23£0.004303-50.00%
2017-02-02£0.008606 100.00%
2016-08-23£0.004303-56.52%
2016-05-05£0.009897 206.67%
2015-08-25£0.003227-67.39%
2015-04-24£0.009897 206.67%
2014-08-25£0.003227-50.00%
2014-04-28£0.006455 114.29%
2013-08-23£0.003012-50.00%
2013-04-29£0.006024 100.00%
2012-08-23£0.003012-36.36%
2012-04-30£0.004733 46.67%
2011-08-24£0.003227-25.00%
2011-05-05£0.004303 48.13%
2010-08-23£0.002905-24.99%
2010-05-04£0.003873 20.00%
2009-08-27£0.003227-16.67%
2009-05-04£0.003873 50.00%
2008-08-27£0.002582-29.41%
2008-05-05£0.003658 41.67%
2007-08-27£0.002582 9.09%
2007-04-24£0.002367N/A
2006-08-24£0.002367N/A