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Stock Profile: 0992.HK
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LENOVO GROUP (0992.HK)

Market: HKEX | Currency: HKD

Address: Lincoln House

Lenovo Group Limited, an investment holding company, develops, manufactures, and markets technology products and services. It operates through Intelligent Devices Group, Infrastructure Solutions Group, and Solutions and Services Group segments. The company offers commercial and consumer personal computers, as well as servers and workstations; and a family of mobile Internet devices, including tablets and smartphones. In addition, it provides laptops, monitors, accessories, smart home and collaboration solutions, augmented and virtual reality, commercial internet of things, and smart infrastructure data center solutions. Further, the company manufactures and distributes IT products, computers, computer hardware, and peripheral equipment; and offers IT, business planning, Show more




📈 LENOVO GROUP Historical Chart






📊 Statistics





💰 Dividend History


Year Annual Yield (%) Total Amount Current Yield (%) Ex Date Pay Date Particulars
2024 - $0.085000 - 2024-11-27 - Dividend payout
$0.300000 - 2024-07-31 - Dividend payout
Total Amount for 2024: $0.385000
2023 - $0.080000 - 2023-11-28 - Dividend payout
$0.300000 - 2023-07-26 - Dividend payout
Total Amount for 2023: $0.380000
2022 - $0.080000 - 2022-11-25 - Dividend payout
$0.300000 - 2022-08-01 - Dividend payout
Total Amount for 2022: $0.380000
2021 - $0.080000 - 2021-11-26 - Dividend payout
$0.240000 - 2021-07-26 - Dividend payout
Total Amount for 2021: $0.320000
2020 - $0.066000 - 2020-11-25 - Dividend payout
$0.215000 - 2020-07-13 - Dividend payout
Total Amount for 2020: $0.281000


📅 Earnings & EPS History for LENOVO GROUP


DateReported EPS
2025-08-13 (estimated upcoming)-
2025-05-220.01
2025-02-190.05
2024-11-140.03
2024-08-150.02
2024-05-230.02
2024-02-210.03
2023-11-150.02
2023-08-170.01
2023-05-240.03
2023-02-160.03
2022-11-030.04
2022-08-090.04
2022-05-260.03
2022-02-230.05
2021-11-040.04
2021-08-110.04
2021-05-270.02
2021-02-020.03
2020-11-020.02
2020-08-130.02
2020-05-19-
2020-02-190.02
2019-11-060.02
2019-08-140.01




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