0002.HKHKSE
CLP Holdings Limited
HK$72.90
ListedJan 4, 2000
SectorUtilities
IndustryUtilities — Regulated Electric
CountryHong Kong
Employees8376
State-| CityKowloon| AddressCLP Headquarters| Phone852 2678 8111
CLP Holdings Limited, an investment holding company, engages in the generation, retail, transmission, and distribution of electricity in Hong Kong, Mainland China, India, Thailand, Taiwan, and Australia. The company generates electricity through coal, gas, nuclear, and renewable resources, such as wind, hydro, and solar. It is also involved in the provision of pumped storage services, energy and infrastructure solutions, and property investment activities, as well as retail of electricity and gas. CLP Holdings Limited was founded in 1901 and is headquartered in Kowloon, Hong Kong.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
18.5
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Div. Rate
HK$3.20
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Div. Yield
4.18%
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Payout Ratio
76.09%
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Max Consec. Div. Years
26 years
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Longest Consec. Div.
25 years
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Div. Coverage
100%
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Div. Stability Rate
0.01
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Div. Growth Rate
25.00%
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Score
85

Dividend History

Historical dividend payments by ex-dividend date.

Jun 2, 2026
HK$ 0.6300
Mar 11, 2026
HK$ 1.3100
Dec 2, 2025
HK$ 0.6300
Sep 2, 2025
HK$ 0.6300
Jun 2, 2025
HK$ 0.6300
Mar 7, 2025
HK$ 1.2600
Dec 2, 2024
HK$ 0.6300
Sep 2, 2024
HK$ 0.6300
May 31, 2024
HK$ 0.6300
Mar 8, 2024
HK$ 1.2100
Dec 4, 2023
HK$ 0.6300
Sep 4, 2023
HK$ 0.6300
Jun 2, 2023
HK$ 0.6300
Mar 10, 2023
HK$ 1.2100
Dec 2, 2022
HK$ 0.6300
Sep 1, 2022
HK$ 0.6300
Jun 1, 2022
HK$ 0.6300
Mar 11, 2022
HK$ 1.2100
Dec 2, 2021
HK$ 0.6300
Sep 2, 2021
HK$ 0.6300
Jun 1, 2021
HK$ 0.6300
Mar 5, 2021
HK$ 1.2100
Dec 2, 2020
HK$ 0.6300
Sep 2, 2020
HK$ 0.6300
Jun 2, 2020
HK$ 0.6300
Mar 6, 2020
HK$ 1.1900
Dec 2, 2019
HK$ 0.6300
Sep 2, 2019
HK$ 0.6300
May 31, 2019
HK$ 0.6300
Mar 8, 2019
HK$ 1.1900
Dec 3, 2018
HK$ 0.6100
Sep 3, 2018
HK$ 0.6100
Jun 4, 2018
HK$ 0.6100
Mar 9, 2018
HK$ 1.1400
Dec 4, 2017
HK$ 0.5900
Sep 4, 2017
HK$ 0.5900
Jun 2, 2017
HK$ 0.5900
Mar 10, 2017
HK$ 1.0900
Dec 2, 2016
HK$ 0.5700
Sep 2, 2016
HK$ 0.5700
Jun 1, 2016
HK$ 0.5700
Mar 11, 2016
HK$ 1.0500
Dec 2, 2015
HK$ 0.5500
Sep 2, 2015
HK$ 0.5500
Jun 2, 2015
HK$ 0.5500
Mar 11, 2015
HK$ 1.0000
Dec 2, 2014
HK$ 0.5400
Sep 2, 2014
HK$ 0.5400
May 30, 2014
HK$ 0.5400
Mar 12, 2014
HK$ 0.9800
Dec 2, 2013
HK$ 0.5300
Sep 2, 2013
HK$ 0.5300
May 31, 2013
HK$ 0.5300
Mar 8, 2013
HK$ 0.9800
Dec 3, 2012
HK$ 0.5300
Sep 3, 2012
HK$ 0.5300
Jun 4, 2012
HK$ 0.5300
Mar 9, 2012
HK$ 0.9600
Dec 2, 2011
HK$ 0.5200
Sep 2, 2011
HK$ 0.5200
Jun 1, 2011
HK$ 0.5200
Mar 15, 2011
HK$ 0.9200
Dec 2, 2010
HK$ 0.5200
Sep 3, 2010
HK$ 0.5200
Jun 2, 2010
HK$ 0.5200
Apr 15, 2010
HK$ 0.9200
Dec 2, 2009
HK$ 0.5200
Sep 3, 2009
HK$ 0.5200
Jun 2, 2009
HK$ 0.5200
Apr 16, 2009
HK$ 0.9200
Dec 2, 2008
HK$ 0.5200
Sep 1, 2008
HK$ 0.5200
May 30, 2008
HK$ 0.5200
Apr 17, 2008
HK$ 0.9200
Nov 30, 2007
HK$ 0.5200
Sep 4, 2007
HK$ 0.5200
Jun 1, 2007
HK$ 0.5200
Apr 12, 2007
HK$ 0.9100
Dec 1, 2006
HK$ 0.5000
Sep 6, 2006
HK$ 0.5000
Jun 1, 2006
HK$ 0.5000
Apr 11, 2006
HK$ 0.9400
Dec 1, 2005
HK$ 0.4800
Sep 5, 2005
HK$ 0.4800
Jun 1, 2005
HK$ 0.4800
Apr 15, 2005
HK$ 0.8800
Dec 1, 2004
HK$ 0.4500
Sep 1, 2004
HK$ 0.4500
Jun 8, 2004
HK$ 0.4500
Apr 8, 2004
HK$ 0.7500
Dec 1, 2003
HK$ 0.4100
Aug 29, 2003
HK$ 0.4100
May 29, 2003
HK$ 0.4100
Apr 22, 2003
HK$ 0.7400
Nov 29, 2002
HK$ 0.3800
Aug 30, 2002
HK$ 0.3800
May 31, 2002
HK$ 0.3800
Apr 15, 2002
HK$ 1.0500
Nov 30, 2001
HK$ 0.3500
Aug 31, 2001
HK$ 0.3500
Jun 1, 2001
HK$ 0.3500
Apr 9, 2001
HK$ 0.7700
Dec 1, 2000
HK$ 0.4000
Aug 31, 2000
HK$ 0.6700
May 31, 2000
HK$ 0.4000
Apr 5, 2000
HK$ 0.7500

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