Minto Apartment Real Estate Investment Trust
MI-UN.TO
#6378
Rank
HK$4.80 B
Marketcap
HK$73.57
Share price
0.15%
Change (1 day)
-19.92%
Change (1 year)

Dividend history for Minto Apartment Real Estate Investment Trust (MI-UN.TO)

Minto Apartment Real Estate Investment Trust (stock symbol: MI-UN.TO) made a total of 79 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$17.08
Dividend yield (TTM) : 3.50% See Minto Apartment Real Estate Investment Trust dividend yield history

Dividend payments for Minto Apartment Real Estate Investment Trust (MI-UN.TO) from 2018 to 2025

Annual dividend payments

Year Dividend (stock split adjusted) Change
2025 HK$0.47-83.48%
2024 HK$2.82 1.95%
2023 HK$2.76 2.96%
2022 HK$2.68 3.81%
2021 HK$2.58 3.91%
2020 HK$2.49 6.18%
2019 HK$2.34 148.95%
2018 HK$0.94N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2025-02-28HK$0.23N/A
2025-01-31HK$0.23N/A
2024-12-31HK$0.23N/A
2024-11-29HK$0.23 2.38%
2024-10-31HK$0.23N/A
2024-09-27HK$0.23-5.50%
2024-08-30HK$0.24N/A
2024-07-31HK$0.24N/A
2024-06-28HK$0.24 5.82%
2024-05-31HK$0.23-5.50%
2024-04-29HK$0.24N/A
2024-03-27HK$0.24N/A
2024-02-28HK$0.24 5.82%
2024-01-30HK$0.23N/A
2023-12-28HK$0.23N/A
2023-11-29HK$0.23-3.19%
2023-10-30HK$0.23 5.82%
2023-09-28HK$0.22-5.50%
2023-08-30HK$0.23N/A
2023-07-28HK$0.23N/A
2023-06-29HK$0.23N/A
2023-05-30HK$0.23 5.82%
2023-04-27HK$0.22-5.50%
2023-03-30HK$0.23 5.82%
2023-02-27HK$0.22-5.50%
2023-01-30HK$0.23 5.82%
2022-12-29HK$0.22-5.50%
2022-11-29HK$0.23 8.46%
2022-10-28HK$0.22N/A
2022-09-28HK$0.22-5.50%
2022-08-30HK$0.23N/A
2022-07-28HK$0.23 5.82%
2022-06-29HK$0.22-5.50%
2022-05-30HK$0.23N/A
2022-04-28HK$0.23 5.82%
2022-03-30HK$0.22-5.50%
2022-02-25HK$0.23 5.82%
2022-01-28HK$0.22-5.50%
2021-12-30HK$0.23 5.82%
2021-11-29HK$0.22-0.53%
2021-10-28HK$0.22 5.82%
2021-09-28HK$0.21N/A
2021-08-30HK$0.21-5.50%
2021-07-29HK$0.22N/A
2021-06-29HK$0.22N/A
2021-05-28HK$0.22 5.82%
2021-04-29HK$0.21-5.50%
2021-03-30HK$0.22N/A
2021-02-25HK$0.22N/A
2021-01-28HK$0.22N/A
2020-12-30HK$0.22 5.82%
2020-11-27HK$0.21N/A
2020-10-29HK$0.21N/A
2020-09-29HK$0.21N/A
2020-08-28HK$0.21-2.94%
2020-07-30HK$0.21 5.82%
2020-06-29HK$0.20N/A
2020-05-28HK$0.20-5.50%
2020-04-29HK$0.21N/A
2020-03-30HK$0.21N/A
2020-02-27HK$0.21 5.82%
2020-01-30HK$0.20N/A
2019-12-30HK$0.20N/A
2019-11-28HK$0.20-5.50%
2019-10-30HK$0.21 5.82%
2019-09-27HK$0.20N/A
2019-08-29HK$0.20 8.82%
2019-07-30HK$0.18-5.50%
2019-06-27HK$0.19 5.82%
2019-05-30HK$0.18-5.50%
2019-04-29HK$0.19N/A
2019-03-28HK$0.19N/A
2019-02-27HK$0.19 5.82%
2019-01-30HK$0.18N/A
2018-12-28HK$0.18-5.50%
2018-11-29HK$0.19 5.82%
2018-10-30HK$0.18N/A
2018-09-27HK$0.18-5.50%
2018-08-30HK$0.19N/A