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Company Dividends / GDN Interest Payments

Generated on Saturday, July 6, 2024 6:13:50 AM

Full Dividend History Report, Click on Icon to view local market details:

Company Orient Overseas (International) Ltd.
Ticker Symbol OROVY
CUSIP Number 68620F103 (Active)
US ISIN US68620F1030
Country Hong Kong
Security Type ADR
Listing Exchange OTC
Ratio (ORD:DR) 5 : 1
US Record Date US Pay Date Notice
pdf/xbrl
Type Stock % US Gross Rate (US$) Tax Withheld (US$) Relief at Src Fee (US$) Fee Rate (US$) US Net
Rate (US$)
Prelim
/
Final
05/29/2024 07/12/2024 Cash 0.00 0.9036640 0.8536640 P
09/01/2023 10/26/2023 Cash 0.00 4.3000000 0.0500000 4.2500000 F
09/01/2023 10/26/2023 Cash 0.00 4.3000000 4.2500000 P
05/25/2023 07/14/2023 Cash 0.00 22.8000000 0.0500000 22.7500000 F
09/02/2022 10/26/2022 Cash 0.00 30.0000000 0.0500000 29.9500000 F
05/26/2022 07/13/2022 Cash 0.00 16.5000000 0.0500000 16.4500000 F
09/02/2021 10/22/2021 Cash 0.00 22.0940460 0.0500000 22.0440460 F
05/26/2021 07/14/2021 Cash 0.00 6.8743680 0.0500000 6.8243680 F
09/16/2020 11/06/2020 Cash 0.00 0.2458030 0.0368700 0.2089330 F
05/20/2020 07/08/2020 Cash 0.00 1.3431730 0.0500000 1.2931730 F
12/23/2019 02/18/2020 Cash 0.00 8.0331100 0.0500000 7.9831100 F
09/18/2019 11/12/2019 Cash 0.00 0.3309730 0.0397160 0.2912570 F
05/22/2019 07/17/2019 Cash 0.00 0.3852560 0.0462300 0.3390260 F

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