SGX Listed Stock

UNITED OVERSEAS BANK LTD (SGX:U11)


UNITED OVERSEAS BANK LTD (SGX:U11) @ SGinvestors.io
SGD 26.700
+0.040 / +0.15%
Share Price as of: 2022-10-07 17:16
Market / ISIN Code: SGX Mainboard / SG1M31001969
Sector / Industry Group / Industry: Financials / Banks / Banks


UOB Corporate Action - Dividends / Rights / SplitsUNITED OVERSEAS BANK LTD Corporate Action - Dividends / Rights / Splits SGX Listed UOB (SGX:U11) Corporate Action - Dividends / Rights / Splits U11.SI Corporate Action - Dividends / Rights / Splits
Action TypeEx DateRecord DatePayment DateDetails
DIVIDEND2022-08-082022-08-102022-08-22SGD 0.6
DIVIDEND2022-04-282022-04-292022-05-13SGD 0.6
DIVIDEND2021-08-162021-08-172021-08-27SGD 0.6
DIVIDEND2021-05-062021-05-072021-06-251 Cash Options
DIVIDEND2020-08-262020-08-272020-10-131 Cash Options
DIVIDEND2020-06-152020-06-162020-06-29SGD 0.55
DIVIDEND2020-06-152020-06-162020-06-29SGD 0.2
DIVIDEND2019-08-152019-08-162019-08-27SGD 0.55
DIVIDEND2019-05-062019-05-072019-05-16SGD 0.5
DIVIDEND2019-05-062019-05-072019-05-16SGD 0.2
DIVIDEND2018-08-142018-08-162018-08-28SGD 0.5
DIVIDEND2018-04-262018-04-302018-06-13FINAL&SPEC,SDS SGD 0.65
DIVIDEND2017-08-142017-08-162017-09-28SCRIP DIV SCHEM SGD 0.35
DIVIDEND2017-04-262017-04-282017-06-13SCRIP DIV SCHEM SGD 0.35
DIVIDEND2016-08-152016-08-172016-09-29SCRIP DIV SCH SGD 0.35
DIVIDEND2016-04-272016-04-292016-05-11SGD 0.35
DIVIDEND2015-11-162015-11-182016-01-04SCRIP DIV SCHEM SGD 0.2
DIVIDEND2015-08-172015-08-192015-08-27SGD 0.35
DIVIDEND2015-04-292015-05-042015-05-13SGD 0.5
DIVIDEND2015-04-292015-05-042015-05-13SGD 0.05
DIVIDEND2014-08-182014-08-202014-08-28SGD 0.2
DIVIDEND2014-04-292014-05-022014-06-16SCRIPDIVSCHEME SGD 0.55
DIVIDEND2013-08-262013-08-282013-09-05SGD 0.2
DIVIDEND2013-05-062013-05-082013-05-17SGD 0.4
DIVIDEND2013-05-062013-05-082013-05-17SGD 0.1
DIVIDEND2012-08-302012-09-032012-09-13SGD 0.2
DIVIDEND2012-05-072012-05-092012-05-22SGD 0.4
DIVIDEND2011-09-012011-09-052011-09-15SGD 0.2
DIVIDEND2011-05-052011-05-092011-06-21SCRIPDIVSCHEME SGD 0.1
DIVIDEND2011-05-052011-05-092011-06-21SCRIPDIVSCHEME SGD 0.4
DIVIDEND2010-08-252010-08-272010-10-13SCRIP DIV SCHEM SGD 0.2
DIVIDEND2010-05-072010-05-112010-06-25SCRIPDIVSCH SGD 0.4
DIVIDEND2009-08-192009-08-212009-09-02SGD 0.2
DIVIDEND2009-05-072009-05-112009-05-25SGD 0.4
DIVIDEND2008-08-182008-08-202008-09-01SGD 0.2
DIVIDEND2008-05-082008-05-122008-05-26SGD 0.45
DIVIDEND2007-08-202007-08-222007-09-03SGD 0.15
DIVIDEND2007-08-202007-08-222007-09-03SGD 0.2
DIVIDEND2007-05-072007-05-092007-05-22SGD 0.5
DIVIDEND2007-05-072007-05-092007-05-22SGD 0.1
DIVIDEND2006-08-142006-08-162006-08-28SGD 0.2
DIVIDEND2006-08-142006-08-162006-08-28SGD 0.2
DIVIDEND2006-05-052006-05-092006-05-22SGD 0.4
DIVIDEND2005-08-112005-08-152005-08-26SGD 0.2
DIVIDEND2005-06-282005-06-302005-07-11100UOL/1000UOB SGD 0.228 NET OF TAX
ENTITLEMENT2005-06-282005-06-302005-07-11100UOL/1000UOB
DIVIDEND2005-05-052005-05-092005-05-20SGD 0.4
DIVIDEND2004-08-122004-08-162004-08-27SGD 0.2
DIVIDEND2004-05-062004-05-102004-05-21SGD 0.4
DIVIDEND2003-08-142003-08-182003-08-29SGD 0.2
DIVIDEND2003-05-142003-05-192003-05-3025%
ENTITLEMENT2002-12-032002-12-05REFER LM/1948
DIVIDEND2002-12-032002-12-052002-12-2040.88308/1000SH SGD 0.1463614 NET OF TAX
DIVIDEND2002-08-202002-08-222002-09-04SGD 0.15
DIVIDEND2002-05-162002-05-202002-05-3125%
DIVIDEND2001-08-162001-08-202001-08-3115%
DIVIDEND2001-05-312001-06-042001-06-15SGD 0.25
DIVIDEND2000-08-182000-08-222000-09-01SGD 0.15
DIVIDEND2000-06-012000-06-052000-06-16SGD 0.12
DIVIDEND2000-06-012000-06-052000-06-16SGD 0.25





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