Orient Overseas Container Line
0316.HK
#1709
Rank
C$17.64 B
Marketcap
C$26.72
Share price
2.12%
Change (1 day)
19.02%
Change (1 year)

Dividend history for Orient Overseas Container Line (0316.HK)

Orient Overseas Container Line (stock symbol: 0316.HK) made a total of 32 dividend payments.
The sum of all dividends (adjusted for stock splits) is : C$43.56
Dividend yield (TTM) : 5.96% See Orient Overseas Container Line dividend yield history

Dividend payments for Orient Overseas Container Line (0316.HK) from 2007 to 2026

Annual dividend payments

Year Dividend (stock split adjusted) Change
2026 C$0.59-79.41%
2025 C$2.85 151.53%
2024 C$1.13-85.04%
2023 C$7.57-41.72%
2022 C$12.98 60.94%
2021 C$8.07 1,730.00%
2020 C$0.44-81.89%
2019 C$2.43 8,043.71%
2017 C$0.02989 15.17%
2016 C$0.02595-85.77%
2015 C$0.18 39.13%
2014 C$0.13 30.09%
2013 C$0.10 54.08%
2012 C$0.06540-98.05%
2011 C$3.36 367.05%
2010 C$0.72 1,038.40%
2009 C$0.06315-77.50%
2008 C$0.28-88.98%
2007 C$2.55N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2026-05-27C$0.59-41.67%
2025-09-04C$1.01-45.45%
2025-05-30C$1.84 109.52%
2024-09-05C$0.88 248.02%
2024-05-27C$0.25-78.95%
2023-08-31C$1.20-81.14%
2023-05-24C$6.37-24.00%
2022-09-01C$8.38 81.82%
2022-05-25C$4.61-25.17%
2021-09-02C$6.16 222.23%
2021-05-26C$1.91 2,701.84%
2020-09-16C$0.06819-81.70%
2020-05-20C$0.37-83.32%
2019-12-19C$2.23 2,304.62%
2019-09-18C$0.09289-13.64%
2019-05-22C$0.11 259.88%
2017-08-30C$0.02989 15.17%
2016-05-05C$0.02595-80.64%
2015-09-02C$0.13 177.41%
2015-05-06C$0.04832-53.85%
2014-09-04C$0.10 296.83%
2014-04-30C$0.02638-73.82%
2013-05-02C$0.10 54.08%
2012-09-04C$0.06540-33.08%
2011-09-01C$0.09772-97.00%
2011-04-21C$3.26 353.46%
2010-09-01C$0.72 1,038.40%
2009-04-23C$0.06315-30.77%
2008-08-27C$0.09122-51.85%
2008-04-11C$0.19-84.92%
2007-08-29C$1.26-2.72%
2007-04-13C$1.29N/A