2888.HKHKSE
Standard Chartered PLC
HK$210.60
ListedOct 31, 2002
SectorFinancial Services
IndustryBanks — Diversified
CountryUnited Kingdom
Employees81514
State-| CityLondon| Address1 Basinghall Avenue| Phone44 20 7885 8888
Standard Chartered PLC, together with its subsidiaries, provides various banking products and services in Asia, Africa, the Middle East, Europe, and the Americas. The company operates in three segments: Corporate & Investment Banking, Wealth & Retail Banking, and Ventures. It offers retail products, such as deposits, mortgages, credit cards, and personal loans; wealth management products and services that include investments, portfolio management, bancassurance, and wealth advice; and transaction banking services, such as cash management, working capital, trade financing, securities and prime services, and payments and liquidity products. The company also provides mergers and acquisitions, leveraged and acquisition finance, infrastructure and development finance, fund finance, and transportation and sustainable finance solutions. In addition, it offers international banking, private banking, priority banking, wealth solutions, financing for SMEs, and Islamic banking products. Further, the company provides financial markets products and services that comprise financing and investment ideas; risk management and investment solutions; foreign exchange, rates, credit, and structured products; capital raising solutions; and sales and structuring, as well as digital banking solutions. It serves financial institutions, governments, banks, investors, corporations, small to medium-sized businesses, and individuals. Standard Chartered PLC was founded in 1853 and is headquartered in London, the United Kingdom.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
12.8
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Div. Rate
HK$4.79
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Div. Yield
2.32%
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Payout Ratio
29.69%
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Max Consec. Div. Years
13 years
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Longest Consec. Div.
5 years
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Div. Coverage
87%
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Div. Stability Rate
0.52
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Div. Growth Rate
100.00%
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Score
67

Dividend History

Historical dividend payments by ex-dividend date.

Mar 18, 2026
HK$ 3.8391
Aug 7, 2025
HK$ 0.9637
Mar 26, 2025
HK$ 2.1938
Aug 8, 2024
HK$ 0.7051
Mar 6, 2024
HK$ 1.6453
Aug 10, 2023
HK$ 0.4701
Feb 23, 2023
HK$ 1.0969
Aug 11, 2022
HK$ 0.3134
Feb 23, 2022
HK$ 0.7051
Aug 11, 2021
HK$ 0.2350
Mar 3, 2021
HK$ 0.7051
Aug 7, 2019
HK$ 0.5484
Mar 6, 2019
HK$ 1.1752
Aug 8, 2018
HK$ 0.4698
Mar 7, 2018
HK$ 0.8629
Aug 12, 2015
HK$ 1.0610
Mar 11, 2015
HK$ 4.2147
Aug 13, 2014
HK$ 2.1221
Mar 12, 2014
HK$ 4.2147
Aug 14, 2013
HK$ 2.3579
Mar 13, 2013
HK$ 4.6478
Aug 8, 2012
HK$ 2.2294
Mar 7, 2012
HK$ 4.1959
Aug 10, 2011
HK$ 2.0263
Mar 9, 2011
HK$ 3.8193
Aug 11, 2010
HK$ 1.6576
Mar 10, 2010
HK$ 3.5338
Aug 12, 2009
HK$ 1.6746
Mar 11, 2009
HK$ 3.3381
Aug 13, 2008
HK$ 1.8223
Mar 5, 2008
HK$ 3.9918
Aug 15, 2007
HK$ 1.6413
Mar 7, 2007
HK$ 3.5644
Aug 16, 2006
HK$ 1.4787
Mar 9, 2006
HK$ 3.1988
Aug 17, 2005
HK$ 1.3446
Feb 23, 2005
HK$ 3.1898
Aug 11, 2004
HK$ 1.2111
Feb 25, 2004
HK$ 2.5904
Aug 13, 2003
HK$ 1.1011
Feb 26, 2003
HK$ 2.3356

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