iShares International High Yield Bond ETF(HYXU) USD 46.66
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.58%USD 0.27USD0.269522022-12-15
20213.47%USD 1.618USD1.617682021-12-16
20201.75%USD 0.818USD0.818082020-12-17
20191.33%USD 0.619USD0.61892019-12-19
20184.15%USD 1.939USD1.938522018-12-18
20170.81%USD 0.377USD0.054422017-08-01
USD0.055972017-07-03
USD0.056172017-06-01
USD0.052112017-05-01
USD0.051772017-04-03
USD0.052842017-03-01
USD0.053942017-02-01
20161.67%USD 0.781USD0.059662016-12-01
USD0.048912016-11-01
USD0.049532016-10-03
USD0.049192016-09-01
USD0.053192016-08-01
USD0.053192016-07-01
USD0.081292016-06-01
USD0.081292016-05-02
USD0.101642016-04-01
USD0.101642016-03-01
USD0.101642016-02-01
20153.08%USD 1.439USD0.101642015-12-01
USD0.101642015-11-02
USD0.11172015-10-01
USD0.1212015-09-01
USD0.13082015-08-03
USD0.13082015-07-01
USD0.13082015-06-01
USD0.14082015-05-01
USD0.152015-04-01
USD0.159812015-03-02
USD0.160012015-02-02
20144.95%USD 2.311USD0.125432014-12-24
USD0.18642014-12-01
USD0.182022014-11-03
USD0.1942014-10-01
USD0.210022014-09-02
USD0.160022014-08-01
USD0.160012014-07-01
USD0.170112014-06-02
USD0.230112014-05-01
USD0.230072014-04-01
USD0.230582014-03-03
USD0.232582014-02-03
20136.24%USD 2.91USD0.300352013-12-26
USD0.349912013-12-02
USD0.350072013-11-01
USD0.205992013-10-01
USD0.205992013-09-03
USD0.205992013-08-01
USD0.205992013-07-01
USD0.155992013-06-03
USD0.155992013-05-01
USD0.235932013-04-01
USD0.238552013-03-01
USD0.299492013-02-01
20124.65%USD 2.17USD0.334772012-12-26
USD0.291832012-12-03
USD0.291832012-11-01
USD0.292742012-10-01
USD0.175112012-09-04
USD0.175112012-08-01
USD0.103982012-07-02
USD0.504492012-06-01