CHINNEY ALLIANCE GROUP LIMITED: O

Exchange Code Listed Last trade Delisted
HK Main 00385  1993-10-15    
Stock code:

Events

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Announced Year-end Type Amount Value
in quote
curr.
New:
Old
ex-Date Distri-
bution
Notes
2025-03-25 2024-12-31 Final dividend HKD 0.0250 2025-06-11 2025-07-09
2024-08-26 2024-12-31 Interim dividend -
2024-03-26 2023-12-31 Final dividend HKD 0.0250 2024-06-13 2024-07-11
2023-08-28 2023-12-31 Interim dividend -
2023-03-28 2022-12-31 Final dividend HKD 0.0250 2023-06-07 2023-07-05
2022-08-30 2022-12-31 Interim dividend -
2022-03-29 2021-12-31 Final dividend HKD 0.0275 2022-06-08 2022-07-06
2021-08-25 2021-12-31 Interim dividend -
2021-03-25 2020-12-31 Final dividend HKD 0.0400 2021-06-09 2021-07-07
2020-08-26 2020-12-31 Interim dividend -
2020-03-26 2019-12-31 Final dividend HKD 0.0400 2020-06-12 2020-07-07
2019-08-28 2019-12-31 Interim dividend -
2019-03-27 2018-12-31 Final dividend HKD 0.0600 2019-06-10 2019-07-02
2018-08-28 2018-12-31 Interim dividend -
2018-03-27 2017-12-31 Final dividend HKD 0.0600 2018-06-06 2018-06-28
2017-08-29 2017-12-31 Interim dividend -
2017-03-30 2016-12-31 Final dividend HKD 0.0600 2017-06-07 2017-06-28
2016-08-30 2016-12-31 Interim dividend -
2016-03-30 2015-12-31 Final dividend HKD 0.0500 2016-06-06 2016-06-27
2015-08-28 2015-12-31 Interim dividend -
2015-08-18 Preferential offer HKD 0.5900 1:17 2015-10-22 2015-11-10
2015-03-24 2014-12-31 Final dividend HKD 0.0400 2015-06-04 2015-06-24
2014-08-27 2014-12-31 Interim dividend -
2014-03-21 2013-12-31 Final dividend HKD 0.0350 2014-06-10 2014-06-30
2013-08-30 2013-12-31 Interim dividend -
2013-03-25 2012-12-31 Final dividend HKD 0.0300 2013-06-07 2013-06-28
2012-08-23 2012-12-31 Interim dividend -
2012-03-28 2011-12-31 Final dividend HKD 0.0300 2012-06-06 2012-06-26
2011-08-26 2011-12-31 Interim dividend -
2011-03-29 2010-12-31 Final dividend HKD 0.0300 2011-05-27 2011-06-21
2010-08-27 2010-12-31 Interim dividend -
2010-04-09 2009-12-31 Final dividend HKD 0.0300 2010-05-27 2010-06-22
2009-09-17 2009-12-31 Interim dividend -
2009-04-16 2008-12-31 Final dividend HKD 0.0250 2009-05-27 2009-06-24
2008-09-22 2008-12-31 Interim dividend -
2008-08-21 Open offer shares HKD 0.2500 1:2 2008-09-05 2008-10-09
2008-04-18 2007-12-31 Final dividend HKD 0.0150 2008-05-27 2008-06-23
2007-09-20 2007-12-31 Interim dividend -
2007-04-17 2006-12-31 Final dividend HKD 0.0100 2007-05-25 2007-06-20
2006-09-19 2006-12-31 Interim dividend -
2006-08-21 Open offer shares HKD 0.2500 3:2 2006-09-25
2006-04-11 2005-12-31 Final dividend -
2005-09-20 2005-12-31 Interim dividend -
2005-04-13 Split/Consol 1:25 2005-06-06
2005-04-13 2004-12-31 Final dividend -
2004-09-16 2004-12-31 Interim dividend -
2004-04-20 2003-12-31 Final dividend -
2003-09-15 2003-12-31 Interim dividend -
2003-04-15 2002-12-31 Final dividend -
2002-09-12 2002-12-31 Interim dividend -
2002-04-17 2001-12-31 Final dividend -
2001-09-12 2001-12-31 Interim dividend -
2001-04-19 2000-12-31 Final dividend -
2000-08-14 2000-12-31 Interim dividend -
2000-04-10 1999-12-31 Final dividend -
1999-09-13 1999-12-31 Interim dividend -
1999-05-28 1998-12-31 Final dividend -
1998-09-29 1998-12-31 Interim dividend -
1998-05-23 1997-12-31 Final dividend -
1997-09-25 1997-12-31 Interim dividend HKD 0.0100 1997-10-23 1997-11-03
1997-05-22 1996-12-31 Final dividend HKD 0.0100 1997-06-04 1997-07-10
1997-05-22 Rights issue shares HKD 0.5000 1:2 1997-06-04 1997-07-10
1996-09-05 1996-12-31 Interim dividend HKD 0.0230 1996-09-27 1996-10-08
1996-05-06 1995-12-31 Final dividend HKD 0.0400 1996-06-24 1996-07-11
1996-05-06 1995-12-31 Bonus warrant HKD 0.0590 1:5 1996-06-24 1996-07-11
1995-08-24 1995-12-31 Interim dividend HKD 0.0230 1995-09-08 1995-09-22
1995-05-11 1994-12-31 Final dividend HKD 0.0400 1995-06-20 1995-07-04
1995-05-11 1994-12-31 Special dividend HKD 0.0200 1995-06-20 1995-07-04
1994-08-25 1994-12-31 Interim dividend HKD 0.0230 1994-09-08 1994-09-20
1994-05-06 1993-12-31 Final dividend HKD 0.0220 1994-06-07 1994-06-23

*=estimated equivalent in the currency in which the share price is quoted, nearly always HKD.


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