iShares iBonds Mar 2023 Term Corporate ETF(IBDD) USD 26.59
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.65%USD 0.173USD0.092692023-03-01
USD0.079832023-02-01
20222.12%USD 0.564USD0.062852022-12-15
USD0.060852022-12-01
USD0.055992022-11-01
USD0.051012022-10-03
USD0.047852022-09-01
USD0.044042022-08-01
USD0.043752022-07-01
USD0.038292022-06-01
USD0.041132022-05-02
USD0.039162022-04-01
USD0.040642022-03-01
USD0.038842022-02-01
20212.02%USD 0.537USD0.044142021-12-16
USD0.041572021-12-01
USD0.041342021-11-01
USD0.043232021-10-01
USD0.042432021-09-01
USD0.043832021-08-02
USD0.044712021-07-01
USD0.043632021-06-01
USD0.045582021-05-03
USD0.047782021-04-01
USD0.049672021-03-01
USD0.049022021-02-01
20202.57%USD 0.685USD0.060722020-12-17
USD0.051552020-12-01
USD0.051372020-11-02
USD0.05292020-10-01
USD0.054422020-09-01
USD0.056362020-08-03
USD0.055412020-07-01
USD0.055932020-06-01
USD0.060552020-05-01
USD0.063672020-04-01
USD0.061372020-03-02
USD0.060322020-02-03
20192.80%USD 0.746USD0.064912019-12-19
USD0.061232019-12-02
USD0.062942019-11-01
USD0.060492019-10-01
USD0.061142019-09-03
USD0.063262019-08-01
USD0.060232019-07-01
USD0.064012019-06-03
USD0.062852019-05-01
USD0.063342019-04-01
USD0.058442019-03-01
USD0.062862019-02-01
20182.92%USD 0.777USD0.070842018-12-18
USD0.066942018-12-03
USD0.0652018-11-01
USD0.065952018-10-01
USD0.063422018-09-04
USD0.062322018-08-01
USD0.064012018-07-02
USD0.0642018-06-01
USD0.06282018-05-01
USD0.063922018-04-02
USD0.064222018-03-01
USD0.06322018-02-01
20172.91%USD 0.773USD0.064582017-12-21
USD0.063762017-12-01
USD0.063882017-11-01
USD0.064212017-10-02
USD0.063982017-09-01
USD0.064362017-08-01
USD0.064512017-07-03
USD0.063882017-06-01
USD0.064842017-05-01
USD0.064572017-04-03
USD0.065022017-03-01
USD0.065242017-02-01
20163.67%USD 0.977USD0.05312016-12-22
USD0.064712016-12-01
USD0.064592016-11-01
USD0.064982016-10-03
USD0.064592016-09-01
USD0.065212016-08-01
USD0.06542016-07-01
USD0.06612016-06-01
USD0.06642016-05-02
USD0.06662016-04-01
USD0.270482016-03-01
USD0.0652016-02-01
20153.00%USD 0.799USD0.06522015-12-24
USD0.06752015-12-01
USD0.06732015-11-02
USD0.0682015-10-01
USD0.06762015-09-01
USD0.0672015-08-03
USD0.06422015-07-01
USD0.0662015-06-01
USD0.0652015-05-01
USD0.06492015-04-01
USD0.06452015-03-02
USD0.07132015-02-02
20143.18%USD 0.846USD0.06752014-12-24
USD0.0722014-12-01
USD0.06752014-11-03
USD0.06262014-10-01
USD0.06952014-09-02
USD0.07222014-08-01
USD0.07252014-07-01
USD0.0722014-06-02
USD0.0672014-05-01
USD0.07372014-04-01
USD0.07392014-03-03
USD0.07562014-02-03
20131.54%USD 0.411USD0.05512013-12-26
USD0.07242013-12-02
USD0.08022013-11-01
USD0.08172013-10-01
USD0.12132013-09-03