公布日期代号顺序名称财政年度事项除净日截止
过户日期
派送日
23/03/202200034九龙建业2021/12末期息57仙21/06/202223/06/2022

24/06/2022
06/07/2022
17/03/202200062载通2021/12末期息50仙,可以股代息23/05/202225/05/2022

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30/06/2022
30/03/202200090普星能量2021/12末期息5﹒6仙21/06/202223/06/2022

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07/07/2022
23/03/202200099王氏国际2021/12末期息2﹒5仙13/06/202215/06/2022

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30/06/2022
25/03/202200184激成投资2021/12末期息4仙02/06/202207/06/2022

09/06/2022
30/06/2022
24/05/202200225博富临置业2022/09中期息4仙17/06/202221/06/2022

23/06/2022
04/07/2022
28/03/202200288万洲国际2021/12末期息14仙07/06/202209/06/2022

13/06/2022
07/07/2022
25/03/202200336华宝国际2021/12末期息2仙14/06/202216/06/2022

17/06/2022
30/06/2022
30/03/202200371北控水务集团2021/12末期息6﹒7仙13/06/202215/06/2022

17/06/2022
30/06/2022
26/04/202200382中汇集团2022/08中期息8﹒4仙,可以股代息12/05/202216/05/2022

19/05/2022
30/06/2022
29/03/202200385建联集团2021/12末期息2﹒75仙08/06/202210/06/2022

15/06/2022
06/07/2022
30/03/202200546阜丰集团2021/12末期息人民币9﹒5分或11﹒7港仙06/06/202208/06/2022

10/06/2022
30/06/2022
23/03/202200560珠江船务2021/12末期息2仙06/06/202208/06/2022

10/06/2022
30/06/2022
29/03/202200581中国东方集团2021/12末期息6仙13/06/202215/06/2022

17/06/2022
04/07/2022
29/03/202200581中国东方集团2021/12特别股息3仙13/06/202215/06/2022

17/06/2022
04/07/2022
31/03/202200641中国恒天立信国际2021/12末期息1仙13/06/202215/06/2022

17/06/2022
30/06/2022
09/03/202200788中国铁塔2021/12末期息人民币2﹒624分或3﹒097港仙16/05/202218/05/2022

23/05/2022
30/06/2022
30/03/202200814北京京客隆2021/12末期息人民币5分或5﹒859港仙19/05/202221/05/2022

26/05/2022
30/06/2022
29/03/202200829神冠控股2021/12末期息2仙02/06/202207/06/2022

10/06/2022
30/06/2022
29/03/202200829神冠控股2021/12特别股息4仙02/06/202207/06/2022

10/06/2022
30/06/2022
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