Dividend Record
01907
CHINA RISUN GROUP LIMITED
Announcement Date |
Financial Year |
Particular | Ex-date Date | Book Closed Date (From) |
Book Closed Date (Until) |
Payable Date |
2025/08/29 | 2025/12 | Int Div RMB 0.002 or HKD 0.0022 | 2025/09/12 | 2025/09/16 | 2025/09/18 | 2025/09/30 |
2025/03/28 | 2024/12 | Sp Div RMB 0.0222 or HKD 0.024 | 2025/06/09 | 2025/06/11 | 2025/06/13 | 2025/06/30 |
2025/03/28 | 2024/12 | No Fin Div | -- | -- | -- | -- |
2024/08/27 | 2024/12 | Int Div RMB 0.0078 or HKD 0.0085 | 2024/09/09 | 2024/09/11 | 2024/09/13 | 2024/09/30 |
2024/03/14 | 2023/12 | Fin Div RMB 0.012 or HKD 0.0132 | 2024/06/07 | 2024/06/12 | 2024/06/14 | 2024/06/28 |
2023/08/25 | 2023/12 | Int Div RMB 0.049 or HKD 0.0535 | 2023/09/11 | 2023/09/13 | 2023/09/15 | 2023/09/29 |
2023/03/30 | 2022/12 | Fin Div RMB 0.009 or HKD 0.01 | 2023/06/12 | 2023/06/14 | 2023/06/16 | 2023/06/30 |
2022/08/26 | 2022/12 | Int Div RMB 0.123 or HKD 0.1409 | 2022/09/09 | 2022/09/14 | 2022/09/16 | 2022/09/30 |
2022/03/25 | 2021/12 | Fin Div RMB 0.063 or HKD 0.077 | 2022/06/14 | 2022/06/16 | 2022/06/20 | 2022/06/30 |
2021/08/27 | 2021/12 | Int Div RMB 0.123 or HKD 0.147 | 2021/09/08 | 2021/09/10 | 2021/09/14 | 2021/09/28 |
2021/03/26 | 2020/12 | Fin Div RMB 0.105 or HKD 0.1248 | 2021/06/10 | 2021/06/15 | 2021/06/17 | 2021/06/30 |
2020/08/31 | 2020/12 | Int Div RMB 0.0258 or HKD 0.0292 | 2020/09/10 | 2020/09/14 | 2020/09/16 | 2020/09/29 |
2020/03/30 | 2019/12 | Fin Div RMB 0.0382 or HKD 0.042 | 2020/07/06 | 2020/07/08 | 2020/07/10 | 2020/07/30 |
2019/08/19 | 2019/12 | Int Div RMB 0.0618 or HKD 0.0689 | 2019/11/01 | 2019/11/05 | 2019/11/07 | 2019/11/29 |
2019/03/29 | 2018/12 | Fin Div RMB 0.1532 or HKD 0.1744 | 2019/07/04 | 2019/07/08 | 2019/07/10 | 2019/08/30 |