TPE-1303's Next Dividend
Next Amount
NT$0.7
Next Pay Date
08/20/2025
Last Amount
NT$0.7
Last Pay Date
08/16/2024
Dividend Shot Clock
Ex-Date: 07/22/2025
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Ex-dividend date passed
Nan Ya Plastics Dividend Chart
*Amounts are shown in the stock exchange currency (TWD) for convenience
Nan Ya Plastics(TPE-1303) Dividend History
Nan Ya Plastics (TPE-1303) currently pays an annual dividend of $1.40 per share, offering a dividend yield of 2.47%. The next payout of $0.70 per share is set for 08/20/2025, with shareholders needing to own the stock before the ex-dividend date on 07/22/2025 to qualify.
Ex-Dividend Date | Amount | Adj. Amount | Record Date | Pay Date | Change (%) |
---|---|---|---|---|---|
2025 | NT$0.7 | NT$0.7 | 0% | ||
07/22/2025 | NT$0.7 | NT$0.7 | n/a | 08/20/2025 | 0% |
2024 | NT$0.7 | NT$0.7 | -77% | ||
07/17/2024 | NT$0.7 | NT$0.7 | n/a | 08/16/2024 | -77% |
2023 | NT$3 | NT$3 | -60% | ||
06/29/2023 | NT$3 | NT$3 | n/a | 07/28/2023 | -60% |
2022 | NT$7.5 | NT$7.5 | 212% | ||
2021 | NT$2.4 | NT$2.4 | 9% | ||
2020 | NT$2.2 | NT$2.2 | -56% | ||
2019 | NT$5 | NT$5 | -2% | ||
2018 | NT$5.1 | NT$5.1 | 13% | ||
2017 | NT$4.5 | NT$4.5 | 36% | ||
2016 | NT$3.3 | NT$3.3 | 43% | ||
2015 | NT$2.3 | NT$2.3 | 21% | ||
2014 | NT$1.9 | NT$1.9 | 533% | ||
2013 | NT$0.3 | NT$0.3 | -86% | ||
2012 | NT$2.1 | NT$2.08 | -55% | ||
2011 | NT$4.7 | NT$4.65 | 147% | ||
2010 | NT$1.9 | NT$1.88 | 138% | ||
2009 | NT$0.8 | NT$0.792 | -88% | ||
2008 | NT$6.7 | NT$6.44 | 34% | ||
2007 | NT$5 | NT$4.81 | 35% | ||
2006 | NT$3.7 | NT$3.56 | 6% | ||
2005 | NT$3.6 | NT$3.36 | 112% | ||
2004 | NT$1.8 | NT$1.58 | 69% | ||
2003 | NT$1.2 | NT$0.94 | 83% | ||
2002 | NT$0.7 | NT$0.513 | -29% | ||
2001 | NT$1.1 | NT$0.726 | 10% | ||
2000 | NT$1 | NT$0.66 | 67% | ||
1999 | NT$0.6 | NT$0.396 | -32% | ||
1996 | NT$1.15 | NT$0.584 | 0% | ||
1995 | NT$1.15 | NT$0.584 | 21% | ||
1994 | NT$1.05 | NT$0.483 |
*Amounts are shown in the stock exchange currency (TWD) for convenience
*Historical information is adjusted for stock splits
*Historical information is adjusted for stock splits