SINGAPORE EXCHANGE LIMITED(S68) SGD 9.51
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.84%SGD 0.08SGD0.082023-02-16
20223.36%SGD 0.32SGD0.082022-11-02
SGD0.082022-10-13
SGD0.082022-05-06
SGD0.082022-02-11
20213.36%SGD 0.32SGD0.082021-11-03
SGD0.082021-10-14
SGD0.082021-05-05
SGD0.082021-01-29
20203.26%SGD 0.31SGD0.082020-10-29
SGD0.082020-10-01
SGD0.0752020-05-04
SGD0.0752020-01-31
20193.15%SGD 0.3SGD0.0752019-11-01
SGD0.0752019-10-10
SGD0.0752019-05-03
SGD0.0752019-01-31
20183.42%SGD 0.325SGD0.0752018-10-25
SGD0.152018-09-26
SGD0.052018-04-26
SGD0.052018-01-25
20172.94%SGD 0.28SGD0.052017-10-31
SGD0.132017-09-27
SGD0.052017-04-26
SGD0.052017-01-25
20162.94%SGD 0.28SGD0.052016-10-25
SGD0.132016-09-28
SGD0.052016-04-26
SGD0.052016-01-26
20153.05%SGD 0.29SGD0.052015-10-27
SGD0.162015-09-30
SGD0.042015-04-28
SGD0.042015-01-27
20142.94%SGD 0.28SGD0.042014-10-28
SGD0.162014-10-01
SGD0.042014-04-29
SGD0.042014-01-28
20132.94%SGD 0.28SGD0.042013-10-23
SGD0.162013-09-25
SGD0.042013-04-22
SGD0.042013-01-28
20122.84%SGD 0.27SGD0.042012-10-24
SGD0.152012-09-26
SGD0.042012-04-30
SGD0.042012-01-31
20112.84%SGD 0.27SGD0.042011-11-02
SGD0.152011-10-11
SGD0.042011-05-09
SGD0.042011-02-07
20102.87%SGD 0.273SGD0.042010-11-01
SGD0.15752010-10-12
SGD0.03752010-05-03
SGD0.03752010-02-01
20092.76%SGD 0.263SGD0.03752009-11-02
SGD0.1552009-10-16
SGD0.0352009-04-29
SGD0.0352009-02-04
20084.05%SGD 0.385SGD0.0352008-10-30
SGD0.292008-10-08
SGD0.032008-04-28
SGD0.032008-01-30
20073.89%SGD 0.37SGD0.032007-10-24
SGD0.32007-10-02
SGD0.022007-04-25
SGD0.022007-01-29
20061.76%SGD 0.167SGD0.022006-10-23
SGD0.1172006-10-02
SGD0.0152006-04-25
SGD0.0152006-01-25
20052.56%SGD 0.243SGD0.0152005-10-25
SGD0.0432005-09-26
SGD0.152005-04-25
SGD0.0352005-02-03
20041.00%SGD 0.095SGD0.0652004-09-22
SGD0.032004-01-30
20033.89%SGD 0.37SGD0.342003-10-28
SGD0.032003-03-06
20020.78%SGD 0.074SGD0.043962002-10-08
SGD0.032002-03-13
20010.77%SGD 0.073SGD0.0432001-09-28
SGD0.032001-02-21