SINGAMAS CONTAINER Logo
HK0716002271
887548
0716.HK

SINGAMAS CONTAINER

Dividend yield TTM
1.51%
€0.00392/share
Dividend growth (CAGR 5Y)
-9.41%
Next dividend
The next dividend is expected in July.

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Historical dividends

In 2026, SINGAMAS CONTAINER has already paid €0.00392 in dividends. The last payout was in September.

Dividend metrics Metrics

All metrics All
Metric Value
Price
€0.26
Yield
1.51%
Interval
Semiannual
CAGR 3Y
43.31%
CAGR 5Y
9.41%
CAGR 10Y
6.47%

All dividend data

So far in 2026, €0.00392 per share has been distributed. In 2025, SINGAMAS CONTAINER distributed €0.00878. The dividend yield is currently 1.51%, and distributions have decreased by 43.31% over the last 3 years. SINGAMAS CONTAINER pays dividends semiannually in July and September.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.00392 55.35% 1.49%
14/09/2026 25/09/2026 €0.00168
06/07/2026 24/07/2026 €0.00224
2025 €0.00878 7.73% 3.35%
15/09/2025 26/09/2025 €0.0033
27/06/2025 18/07/2025 €0.00548
2024 €0.00815 66.04% 3.11%
05/09/2024 20/09/2024 €0.00345
28/06/2024 19/07/2024 €0.0047
2023 €0.024 50.21% 9.15%
11/09/2023 29/09/2023 €0.0217
03/07/2023 21/07/2023 €0.0023
2022 €0.0482 520.33% 18.38%
09/09/2022 30/09/2022 €0.0052
06/07/2022 22/07/2022 €0.02
12/01/2022 27/01/2022 €0.023
2021 €0.00777 46.04% 2.48%
13/09/2021 30/09/2021 €0.00777
2020 €0.0144 78.22% 41.13%
03/07/2020 24/07/2020 €0.0144
2019 €0.00808 147.09% 10.01%
08/07/2019 31/07/2019 €0.00808
2018 €0.00327 48.64% 2.48%
09/07/2018 31/07/2018 €0.00327
2017 €0.0022 53.09% 1.16%
16/10/2017 31/10/2017 €0.0022
2015 €0.00469 55.09% 3.17%
12/10/2015 30/10/2015 €0.00234
15/06/2015 31/07/2015 €0.00235
2014 €0.00302 36.74% 1.91%
13/10/2014 31/10/2014 €0.00206
12/06/2014 31/07/2014 €0.000964
2013 €0.00478 48.21% 3.64%
11/10/2013 31/10/2013 €0.00284
31/05/2013 31/07/2013 €0.00194
2012 €0.00923 41.43% 5.23%
16/10/2012 31/10/2012 €0.00399
08/06/2012 31/07/2012 €0.00524
2011 €0.0158 189.71% 13.70%
19/09/2011 30/09/2011 €0.0086
23/05/2011 31/07/2011 €0.00716
2007 €0.00544 46.03% 1.35%
17/10/2007 31/10/2007 €0.00357
25/05/2007 31/07/2007 €0.00187
2006 €0.0101 40.98% -
18/10/2006 31/10/2006 €0.00302
11/05/2006 31/07/2006 €0.00706
2005 €0.0171 136.24% -
19/10/2005 31/10/2005 €0.00753
11/05/2005 29/07/2005 €0.00955
2004 €0.00723 10.05% -
18/10/2004 29/10/2004 €0.00302
11/05/2004 30/06/2004 €0.00421
2003 €0.00657 405.38% -
18/09/2003 30/09/2003 €0.00222
15/04/2003 30/05/2003 €0.00435
2002 €0.0013 66.32% -
04/06/2002 30/07/2002 €0.0013
1995 €0.00386 28.39% -
06/06/1995 25/07/1995 €0.00386
1994 €0.00539 0.00% -
15/06/1994 22/07/1994 €0.00539

Frequently asked questions

When does SINGAMAS CONTAINER pay dividends?

SINGAMAS CONTAINER pays dividends in July and September.

How often does SINGAMAS CONTAINER pay dividends?

SINGAMAS CONTAINER pays dividends semiannual.

What percentage of dividends does SINGAMAS CONTAINER pay?

The dividend yield is currently 1.51%, and payouts have decreased by 43.31% over the past 3 years.

When were the most recent dividend payment dates for SINGAMAS CONTAINER?

The most recent payment was made on 25/09/2026. Previous payments were made on: 24/07/2026.

When did you need to hold SINGAMAS CONTAINER in your portfolio to receive the latest dividend?

If you held SINGAMAS CONTAINER in your portfolio on 14/09/2026, you received the payout.

How much was the dividend from SINGAMAS CONTAINER in 2025?

In 2025, SINGAMAS CONTAINER paid €0.00878 in dividends.

How much was the dividend from SINGAMAS CONTAINER in 2024?

In 2024, SINGAMAS CONTAINER paid €0.00815 in dividends.

When is the next dividend from SINGAMAS CONTAINER expected?

SINGAMAS CONTAINER is expected to pay the next dividend in July.

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