Dividend information and timetable | HSBC Holdings plc - HSBC Group

Dividends are declared in US dollars but can also be paid in UK pounds sterling or Hong Kong dollars at the shareholder's request.

Payment of dividend on UK register

On the UK share register we no longer pay dividends by cheque. You need to register to receive your dividends direct to your bank account. Shareholders can register or change banking instructions with our registrar Computershare at www.investorcentre.co.uk (opens in new window).

The default currency on the UK register is pounds sterling and can also be paid in Hong Kong dollars or US dollars. You can also register to receive dividends in other currencies. Please register and read the terms and conditions of the Global Dividend Service at www.investorcentre.co.uk (opens in new window).

Payment of dividend on Hong Kong register

The default currency on the Hong Kong register is Hong Kong dollars and can also be paid in US dollars or pounds sterling, or a combination of these currencies. Shareholders can change their dividend election by completing the form below and sending to Computershare Hong Kong Investor Services Limited (Chinese version is for reference only, please only complete the English version).

Hong Kong dividend form (PDF 201KB)

Computershare can arrange for direct credit of Hong Kong dollar cash dividends into your bank account. They can also arrange to send US dollar cheques to the credit of your bank account. Please register for these services at www.investorcentre.com/hk (opens in new window) and provide your bank details.

Payment of dividend on Bermuda register

The default currency on the Bermuda register is US dollars and can also be paid in Hong Kong dollars or pounds sterling, or a combination of these currencies. Shareholders can change their dividend election by completing the form below and sending to the Bermuda Investor Relations Team.

Bermuda dividend form (PDF 68KB)

Payment of dividend on US ADR register

For all queries regarding the ADR dividend, please contact the United States ADR Depositary.

Dividend timetable

The dividend timetable for the current dividend can be found below. Further information of the current dividend will be disclosed in the relevant Results announcement found on our reporting page. The key dates for the quarterly dividend are normally within the periods below.

Final Interim
(previous year)
First Interim Second Interim Third Interim

Announcement of dividend amount
(within results announcement)

Final Interim (previous year):By end February

First Interim:By early May

Second Interim:By early August

Third Interim:By early November

Record date
(normally on a Friday)

Final Interim (previous year):Early March

First Interim:Early May

Second Interim:Early August

Third Interim:Early November

Final date to change dividend currency

Final Interim (previous year):Early April

First Interim:Early June

Second Interim:Early September

Third Interim:Early December

Exchange rate announced for GBP / HKD

Final Interim (previous year):Mid April

First Interim:Mid June

Second Interim:Mid September

Third Interim:Mid December

Payment date

Final Interim (previous year):End April

First Interim:End June

Second Interim:End September

Third Interim:End December

Below you can view the proposed timetable for the current dividend, together with historic values and payments from 1997 to the present.

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