iShares iBonds Mar 2023 Term Corporate ex-Financials ETF(IBCE) USD 24.355
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.59%USD 0.144USD0.076132023-03-01
USD0.0682023-02-01
20222.25%USD 0.549USD0.061362022-12-15
USD0.05832022-12-01
USD0.057552022-11-01
USD0.052422022-10-03
USD0.047842022-09-01
USD0.042062022-08-01
USD0.040472022-07-01
USD0.038482022-06-01
USD0.037142022-05-02
USD0.037462022-04-01
USD0.038722022-03-01
USD0.03732022-02-01
20212.00%USD 0.488USD0.039122021-12-16
USD0.039132021-12-01
USD0.038892021-11-01
USD0.039372021-10-01
USD0.038012021-09-01
USD0.039192021-08-02
USD0.039852021-07-01
USD0.040052021-06-01
USD0.040692021-05-03
USD0.043372021-04-01
USD0.045022021-03-01
USD0.045582021-02-01
20202.46%USD 0.6USD0.046812020-12-17
USD0.046772020-12-01
USD0.046962020-11-02
USD0.048012020-10-01
USD0.049492020-09-01
USD0.050492020-08-03
USD0.050092020-07-01
USD0.051862020-06-01
USD0.052952020-05-01
USD0.051822020-04-01
USD0.052582020-03-02
USD0.052422020-02-03
20192.75%USD 0.669USD0.078622019-12-19
USD0.05272019-12-02
USD0.052492019-11-01
USD0.053842019-10-01
USD0.052582019-09-03
USD0.052762019-08-01
USD0.055932019-07-01
USD0.054462019-06-03
USD0.052692019-05-01
USD0.053552019-04-01
USD0.052822019-03-01
USD0.056212019-02-01
20182.72%USD 0.662USD0.058142018-12-18
USD0.05532018-12-03
USD0.0572018-11-01
USD0.054992018-10-01
USD0.054852018-09-04
USD0.054612018-08-01
USD0.05482018-07-02
USD0.05492018-06-01
USD0.053712018-05-01
USD0.054692018-04-02
USD0.054672018-03-01
USD0.053852018-02-01
20172.71%USD 0.661USD0.054592017-12-21
USD0.05452017-12-01
USD0.054592017-11-01
USD0.054712017-10-02
USD0.054992017-09-01
USD0.055152017-08-01
USD0.055592017-07-03
USD0.054932017-06-01
USD0.055312017-05-01
USD0.055232017-04-03
USD0.055532017-03-01
USD0.055412017-02-01
20163.43%USD 0.835USD0.048982016-12-22
USD0.05512016-12-01
USD0.055472016-11-01
USD0.055572016-10-03
USD0.055322016-09-01
USD0.05562016-08-01
USD0.05612016-07-01
USD0.05622016-06-01
USD0.05632016-05-02
USD0.05662016-04-01
USD0.225672016-03-01
USD0.05762016-02-01
20152.91%USD 0.708USD0.06322015-12-24
USD0.05672015-12-01
USD0.05792015-11-02
USD0.05832015-10-01
USD0.05812015-09-01
USD0.05792015-08-03
USD0.05732015-07-01
USD0.06292015-06-01
USD0.06532015-05-01
USD0.05982015-04-01
USD0.05432015-03-02
USD0.05642015-02-02
20142.74%USD 0.668USD0.05352014-12-24
USD0.05652014-12-01
USD0.05272014-11-03
USD0.05592014-10-01
USD0.0572014-09-02
USD0.05692014-08-01
USD0.0552014-07-01
USD0.0552014-06-02
USD0.05722014-05-01
USD0.05612014-04-01
USD0.05512014-03-03
USD0.05732014-02-03
20131.76%USD 0.428USD0.05692013-12-26
USD0.05552013-12-02
USD0.05522013-11-01
USD0.05022013-10-01
USD0.04522013-09-03
USD0.052013-08-01
USD0.05342013-07-01
USD0.0622013-06-03