2317.HKHKSE
Vedan International (Holdings) Limited
HK$0.75
ListedJun 27, 2003
SectorConsumer Defensive
IndustryPackaged Foods
CountryHong Kong
Employees4005
State-| CityCauseway Bay| AddressLee Garden One, 33 Hysan Avenue| Phone852 2980 1888
Vedan International (Holdings) Limited, an investment holding company, engages in the production of fermentation-based amino acids, food additive products, and cassava starch based industrial products. It offers lysine for animal feed producers; feed additive products; cassava starch-based industrial products, such as native starch, modified starch, and glucose syrup; specialty chemical products, including caustic soda, hydrochloric acid, and hypochlorite; and PGA hydrogel and Y-PGA hydrogel. The company sells its products under the VEDAN brand. It serves food distributors, trading companies, and manufacturers of food, paper, textile, and chemical products in Vietnam and other ASEAN countries, the People's Republic of China, Japan, Taiwan, and European countries. Vedan International (Holdings) Limited was incorporated in 2002 and is based in Causeway Bay, Hong Kong.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
8.1
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Div. Rate
HK$0.13
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Div. Yield
17.53%
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Payout Ratio
77.44%
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Max Consec. Div. Years
11 years
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Longest Consec. Div.
11 years
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Div. Coverage
95%
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Div. Stability Rate
0.62
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Div. Growth Rate
75.00%
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Score
76

Dividend History

Historical dividend payments by ex-dividend date.

May 29, 2026
HK$ 0.0640
Sep 18, 2025
HK$ 0.0233
May 30, 2025
HK$ 0.0445
Sep 12, 2024
HK$ 0.0212
Jun 4, 2024
HK$ 0.0179
Sep 14, 2023
HK$ 0.0179
May 26, 2022
HK$ 0.0127
Sep 15, 2021
HK$ 0.0211
May 21, 2021
HK$ 0.0357
Sep 16, 2020
HK$ 0.0150
May 21, 2020
HK$ 0.0165
Sep 18, 2019
HK$ 0.0313
May 23, 2019
HK$ 0.0207
Sep 10, 2018
HK$ 0.0233
May 25, 2018
HK$ 0.0346
Sep 25, 2017
HK$ 0.0239
May 25, 2017
HK$ 0.0649
Sep 26, 2016
HK$ 0.0495
May 26, 2016
HK$ 0.0233
Sep 25, 2015
HK$ 0.0135
Sep 23, 2013
HK$ 0.0079
May 24, 2013
HK$ 0.0114
Sep 17, 2012
HK$ 0.0111
May 25, 2012
HK$ 0.0244
May 27, 2011
HK$ 0.0188
May 28, 2010
HK$ 0.0248
Sep 30, 2009
HK$ 0.0214
Oct 2, 2008
HK$ 0.0031
May 30, 2008
HK$ 0.0029
Oct 11, 2007
HK$ 0.0205
May 18, 2007
HK$ 0.0124
Oct 4, 2006
HK$ 0.0157
May 12, 2006
HK$ 0.0088
Oct 5, 2005
HK$ 0.0157
May 12, 2005
HK$ 0.0355
Oct 5, 2004
HK$ 0.0396
May 14, 2004
HK$ 0.0435
Oct 3, 2003
HK$ 0.0251

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