PIMCO Active Bond Exchange-Traded Fund(BOND) USD 92.35
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.62%USD 0.57USD0.292023-03-01
USD0.282023-02-01
20223.37%USD 3.11USD0.292022-12-29
USD0.282022-12-01
USD0.272022-11-01
USD0.272022-10-03
USD0.272022-09-01
USD0.272022-08-01
USD0.262022-07-01
USD0.252022-06-01
USD0.252022-05-02
USD0.242022-04-01
USD0.232022-03-01
USD0.232022-02-01
20213.05%USD 2.82USD0.232021-12-30
USD0.232021-12-01
USD0.232021-11-01
USD0.242021-10-01
USD0.242021-09-01
USD0.242021-08-02
USD0.242021-07-01
USD0.242021-06-01
USD0.242021-05-03
USD0.232021-04-01
USD0.232021-03-01
USD0.232021-02-01
20203.25%USD 3.004USD0.232020-12-30
USD0.232020-12-01
USD0.232020-11-02
USD0.232020-10-01
USD0.232020-09-01
USD0.244052020-08-03
USD0.252020-07-01
USD0.242020-06-01
USD0.262020-05-01
USD0.282020-04-01
USD0.292020-03-02
USD0.292020-02-03
20193.94%USD 3.64USD0.292019-12-30
USD0.292019-12-02
USD0.32019-11-01
USD0.32019-10-01
USD0.32019-09-03
USD0.312019-08-01
USD0.32019-07-01
USD0.32019-06-03
USD0.32019-05-01
USD0.312019-04-01
USD0.322019-03-01
USD0.322019-02-01
20183.86%USD 3.565USD0.32018-12-28
USD0.322018-12-03
USD0.322018-11-01
USD0.32018-10-01
USD0.32018-09-04
USD0.292018-08-01
USD0.32018-07-02
USD0.32018-06-01
USD0.2952018-05-01
USD0.352018-04-02
USD0.222018-03-01
USD0.272018-02-01
20173.29%USD 3.039USD0.269352017-12-28
USD0.2752017-12-01
USD0.2752017-11-01
USD0.292017-10-02
USD0.292017-09-01
USD0.262017-08-01
USD0.232017-07-03
USD0.232017-06-01
USD0.22017-05-01
USD0.242017-04-03
USD0.232017-03-01
USD0.252017-02-01
20163.22%USD 2.97USD0.682016-12-28
USD0.242016-12-01
USD0.192016-11-01
USD0.332016-10-03
USD0.32016-09-01
USD0.242016-08-01
USD0.192016-07-01
USD0.122016-06-01
USD0.162016-05-02
USD0.162016-04-01
USD0.162016-03-01
USD0.22016-02-01
20154.67%USD 4.31USD1.142015-12-29
USD0.392015-12-01
USD0.392015-11-02
USD0.392015-09-30
USD0.372015-08-31
USD0.32015-07-31
USD0.32015-06-30
USD0.32015-05-29
USD0.222015-04-30
USD0.182015-03-31
USD0.162015-02-27
USD0.172015-01-30
20144.79%USD 4.425USD1.72014-12-29
USD1.122014-11-28
USD0.42014-10-31
USD0.2752014-09-30
USD0.32014-08-29
USD0.282014-07-31
USD0.052014-06-30
USD0.052014-05-30
USD0.052014-04-30
USD0.052014-03-31
USD0.052014-02-28
USD0.12014-01-31
20133.20%USD 2.955USD0.142013-12-27
USD0.436852013-12-11
USD0.192013-11-29
USD0.22013-10-31
USD0.252013-09-30
USD0.32013-08-30
USD0.2552013-07-31
USD0.222013-06-28
USD0.2252013-05-31
USD0.212013-04-30
USD0.182013-03-28
USD0.1742013-02-28
USD0.1742013-01-31
20122.98%USD 2.748USD0.182012-12-27
USD0.882642012-12-12
USD0.22012-11-30
USD0.22012-10-31
USD0.1952012-09-28
USD0.22012-08-31
USD0.182012-07-31
USD0.212012-06-29
USD0.22012-05-31
USD0.182012-04-30
USD0.122012-03-30