Dividend Record
Announcement Date Particular Dividend Amount Ex-/Effective Date Record Date/Book closed date Payable Date
2024/10/21 Dividend USD 0.029986 2024/10/31 2024/10/31 2024/11/15
2024/09/20 Dividend USD 0.050710 2024/09/30 2024/09/30 2024/10/15
2024/08/20 Dividend USD 0.051902 2024/08/30 2024/08/30 2024/09/16
2024/07/19 Dividend USD 0.070169 2024/07/31 2024/07/31 2024/08/14
2024/05/20 Dividend USD 0.020050 2024/05/31 2024/05/31 2024/06/14
2024/03/18 Dividend USD 0.041340 2024/03/27 2024/03/28 2024/04/12
2024/02/16 Dividend USD 0.045460 2024/02/28 2024/02/29 2024/03/14
2024/01/19 Dividend USD 0.031031 2024/01/30 2024/01/31 2024/02/14
2023/12/18 Dividend USD 0.106232 2023/12/28 2023/12/29 2024/01/16
2023/11/17 Dividend USD 0.157170 2023/11/29 2023/11/30 2023/12/14
2023/10/20 Dividend USD 0.042862 2023/10/30 2023/10/31 2023/11/14
2023/09/19 Dividend USD 0.022414 2023/09/28 2023/09/29 2023/10/16
2023/08/21 Dividend USD 0.024535 2023/08/30 2023/08/31 2023/09/15
2023/07/21 Dividend USD 0.021749 2023/07/28 2023/07/31 2023/08/14
2023/06/20 Dividend USD 0.052370 2023/06/29 2023/06/30 2023/07/17
2023/05/19 Dividend USD 0.044380 2023/05/30 2023/05/31 2023/06/14
2023/04/18 Dividend USD 0.026846 2023/04/27 2023/04/28 2023/05/12
2023/03/21 Dividend USD 0.023556 2023/03/30 2023/03/31 2023/04/14
2023/02/17 Dividend USD 0.041356 2023/02/27 2023/02/28 2023/03/14
2023/01/20 Dividend USD 0.036797 2023/01/30 2023/01/31 2023/02/14
2022/12/19 Dividend USD 0.037639 2022/12/29 2022/12/30 2023/01/17
2022/11/18 Dividend USD 0.080997 2022/11/29 2022/11/30 2022/12/14
2022/10/21 Dividend USD 0.208580 2022/10/28 2022/10/31 2022/11/15
2022/09/20 Dividend USD 0.223645 2022/09/29 2022/09/30 2022/10/17
2022/08/19 Dividend USD 0.195923 2022/08/30 2022/08/31 2022/09/15
2022/07/19 Dividend USD 0.163979 2022/07/28 2022/07/29 2022/08/12
2022/06/17 Dividend USD 0.091662 2022/06/29 2022/06/30 2022/07/15
2022/05/20 Dividend USD 0.034440 2022/05/27 2022/05/31 2022/06/14
2022/04/19 Dividend USD 0.031780 2022/04/28 2022/04/29 2022/05/13
2022/03/21 Dividend USD 0.019330 2022/03/30 2022/03/31 2022/04/14
2022/02/17 Dividend USD 0.029160 2022/02/25 2022/02/28 2022/03/14
2022/01/21 Dividend USD 0.031614 2022/01/28 2022/01/31 2022/02/14
2021/12/20 Dividend USD 0.024620 2021/12/30 2021/12/31 2022/01/14
2021/10/19 Dividend USD 0.022350 2021/10/28 2021/10/29 2021/11/15
2021/09/20 Dividend USD 0.023110 2021/09/29 2021/09/30 2021/10/15
2021/08/20 Dividend USD 0.019550 2021/08/30 2021/08/31 2021/09/15
2021/07/19 Dividend USD 0.021350 2021/07/29 2021/07/30 2021/08/13
2021/06/18 Dividend USD 0.017630 2021/06/29 2021/06/30 2021/07/15
2021/05/18 Dividend USD 0.021243 2021/05/27 2021/05/28 2021/06/14
2021/04/20 Dividend USD 0.018156 2021/04/29 2021/04/30 2021/05/14
2021/03/19 Dividend USD 0.011525 2021/03/30 2021/03/31 2021/04/14
2021/02/16 Dividend USD 0.016492 2021/02/25 2021/02/26 2021/03/12
2021/01/19 Dividend USD 0.011453 2021/01/28 2021/01/29 2021/02/12
2020/12/22 Dividend USD 0.013413 2020/12/30 2020/12/31 2021/01/14
2020/10/20 Dividend USD 0.012620 2020/10/29 2020/10/30 2020/11/16
2020/09/18 Dividend USD 0.012350 2020/09/29 2020/09/30 2020/10/15
2020/08/21 Dividend USD 0.008860 2020/08/28 2020/08/31 2020/09/15
2020/07/21 Dividend USD 0.005702 2020/07/30 2020/07/31 2020/08/14
2020/06/19 Dividend USD 0.001810 2020/06/29 2020/06/30 2020/07/14
2020/05/18 Dividend USD 0.016499 2020/05/28 2020/05/29 2020/06/12
2020/04/20 Dividend USD 0.023048 2020/04/29 2020/04/30 2020/05/14
2020/03/20 Dividend USD 0.033837 2020/03/30 2020/03/31 2020/04/14
2020/02/18 Dividend USD 0.050278 2020/02/27 2020/02/28 2020/03/13
2020/01/21 Dividend USD 0.043110 2020/01/30 2020/01/31 2020/02/14
2019/12/20 Dividend USD 0.038880 2019/12/30 2019/12/31 2020/01/15
2019/11/18 Dividend USD 0.038980 2019/11/27 2019/11/29 2019/12/13
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