( 00823.hk)
市盈率-13.74市净率0.59股息率7.37%上市时间2005-11-25股价35.68港币涨跌幅-0.45%成交金额4.42亿港币换手率0.47%市值933.49亿港币H股市值933.49亿港币总股本26.16亿H股本26.16亿每手股数100上市至今年化投资收益率10.48%累计做空占H股比例2.00% (18.44亿港币2026-01-16) 信托契约分派总额不少于可分派收入总额之90%。
所属指数指数纳入纳出
备注 (8): 双击编辑备注
发表讨论

领展房产基金(00823) - 历史股息率走势图

最后更新于:2026-01-27

股息率

  • 当前值:7.37%
  • 当前分位点72.79%
  • 80%分位点7.57%
  • 50%分位点6.63%
  • 20%分位点6.08%
  • 最大值:8.80%
  • 平均值:6.74%
  • 最小值:4.62%
日期股价股息率
2026-01-2735.68港币7.37%
2026-01-2635.84港币7.34%
2026-01-2335.48港币7.41%
2026-01-2235.40港币7.43%
2026-01-2135.06港币7.50%
2026-01-2035.44港币7.42%
2026-01-1935.24港币7.46%
2026-01-1635.16港币7.48%
2026-01-1534.98港币7.52%
2026-01-1434.76港币7.56%
2026-01-1334.78港币7.56%
2026-01-1234.68港币7.58%
2026-01-0934.62港币7.59%
2026-01-0834.36港币7.65%
2026-01-0734.58港币7.60%
2026-01-0634.20港币7.69%
2026-01-0534.50港币7.62%
2026-01-0235.20港币7.47%
2025-12-3134.74港币7.57%
2025-12-3034.80港币7.59%
2025-12-2934.78港币7.59%
2025-12-2435.02港币7.54%
2025-12-2334.72港币7.61%
2025-12-2234.68港币7.61%