iShares U.S. Fixed Income Balanced Risk Factor ETF(FIBR) USD 84.749
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.71%USD 0.599USD0.300882023-03-01
USD0.29782023-02-01
20223.22%USD 2.733USD0.283272022-12-15
USD0.286962022-12-01
USD0.278252022-11-01
USD0.284932022-10-03
USD0.259422022-09-01
USD0.237272022-08-01
USD0.229142022-07-01
USD0.184692022-06-01
USD0.203082022-05-02
USD0.17542022-04-01
USD0.161992022-03-01
USD0.148452022-02-01
20212.26%USD 1.918USD0.082882021-12-16
USD0.132042021-12-01
USD0.141732021-11-01
USD0.154062021-10-01
USD0.153262021-09-01
USD0.169032021-08-02
USD0.162142021-07-01
USD0.179652021-06-01
USD0.199092021-05-03
USD0.189522021-04-01
USD0.181492021-03-01
USD0.173232021-02-01
20203.11%USD 2.634USD0.046792020-12-17
USD0.178072020-12-01
USD0.185052020-11-02
USD0.1932020-10-01
USD0.2092020-09-01
USD0.2262020-08-03
USD0.2482020-07-01
USD0.2582020-06-01
USD0.2772020-05-01
USD0.2822020-04-01
USD0.2682020-03-02
USD0.2632020-02-03
20193.93%USD 3.334USD0.188292019-12-19
USD0.265692019-12-02
USD0.268842019-11-01
USD0.258982019-10-01
USD0.264042019-09-03
USD0.272822019-08-01
USD0.279092019-07-01
USD0.290022019-06-03
USD0.30332019-05-01
USD0.30272019-04-01
USD0.311482019-03-01
USD0.329222019-02-01
20184.08%USD 3.456USD0.285492018-12-18
USD0.317212018-12-03
USD0.307892018-11-01
USD0.299092018-10-01
USD0.303152018-09-04
USD0.330242018-08-01
USD0.300892018-07-02
USD0.305412018-06-01
USD0.284042018-05-01
USD0.260092018-04-02
USD0.242452018-03-01
USD0.220512018-02-01
20173.24%USD 2.748USD0.042432017-12-21
USD0.205392017-12-01
USD0.219912017-11-01
USD0.229262017-10-02
USD0.222382017-09-01
USD0.284082017-08-01
USD0.280822017-07-03
USD0.259042017-06-01
USD0.256982017-05-01
USD0.235462017-04-03
USD0.261262017-03-01
USD0.251292017-02-01
20163.41%USD 2.89USD0.239552016-12-01
USD0.258982016-11-01
USD0.258032016-10-03
USD0.256482016-09-01
USD0.2532016-08-01
USD0.28092016-07-01
USD0.269382016-06-01
USD0.299252016-05-02
USD0.272612016-04-01
USD0.26222016-03-01
USD0.239852016-02-01
20152.60%USD 2.201USD0.027422015-12-24
USD0.228262015-12-01
USD0.228282015-11-02
USD0.250132015-10-01
USD0.234592015-09-01
USD0.245172015-08-03
USD0.247162015-07-01
USD0.254742015-06-01
USD0.22042015-05-01
USD0.264922015-04-01