iShares Trust - iShares iBonds Dec 2021 Term Corporate ETF(IBDM) USD 24.72
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20210.85%USD 0.209USD0.007062021-11-01
USD0.007432021-10-01
USD0.010342021-09-01
USD0.015852021-08-02
USD0.021232021-07-01
USD0.023522021-06-01
USD0.025832021-05-03
USD0.028142021-04-01
USD0.033342021-03-01
USD0.036442021-02-01
20202.29%USD 0.565USD0.039672020-12-17
USD0.040422020-12-01
USD0.040812020-11-02
USD0.043072020-10-01
USD0.044052020-09-01
USD0.045342020-08-03
USD0.047382020-07-01
USD0.051452020-06-01
USD0.052152020-05-01
USD0.052852020-04-01
USD0.054132020-03-02
USD0.053942020-02-03
20192.73%USD 0.674USD0.053062019-12-19
USD0.054832019-12-02
USD0.055132019-11-01
USD0.055252019-10-01
USD0.055132019-09-03
USD0.054232019-08-01
USD0.056842019-07-01
USD0.058182019-06-03
USD0.0572019-05-01
USD0.058162019-04-01
USD0.058372019-03-01
USD0.058142019-02-01
20182.56%USD 0.634USD0.049022018-12-18
USD0.055982018-12-03
USD0.053822018-11-01
USD0.054232018-10-01
USD0.05352018-09-04
USD0.053722018-08-01
USD0.053732018-07-02
USD0.05512018-06-01
USD0.051482018-05-01
USD0.051542018-04-02
USD0.052172018-03-01
USD0.049582018-02-01
20172.44%USD 0.603USD0.034722017-12-21
USD0.050752017-12-01
USD0.050772017-11-01
USD0.05162017-10-02
USD0.051322017-09-01
USD0.05162017-08-01
USD0.051872017-07-03
USD0.05152017-06-01
USD0.052352017-05-01
USD0.051692017-04-03
USD0.053142017-03-01
USD0.051672017-02-01
20162.49%USD 0.615USD0.02982016-12-22
USD0.051422016-12-01
USD0.051642016-11-01
USD0.052372016-10-03
USD0.052032016-09-01
USD0.053042016-08-01
USD0.05422016-07-01
USD0.05392016-06-01
USD0.052732016-05-02
USD0.057432016-04-01
USD0.055132016-03-01
USD0.051152016-02-01
20152.02%USD 0.499USD0.037372015-12-24
USD0.054922015-12-01
USD0.05452015-11-02
USD0.052212015-10-01
USD0.05382015-09-01
USD0.053562015-08-03
USD0.053532015-07-01
USD0.053492015-06-01
USD0.08532015-05-01