iShares iBonds Dec 2026 Term Corporate ETF(IBDR) USD 23.68
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.79%USD 0.187USD0.063832023-04-03
USD0.061992023-03-01
USD0.061592023-02-01
20222.41%USD 0.57USD0.055462022-12-15
USD0.057832022-12-01
USD0.053172022-11-01
USD0.049522022-10-03
USD0.046992022-09-01
USD0.046652022-08-01
USD0.045372022-07-01
USD0.042832022-06-01
USD0.043612022-05-02
USD0.042042022-04-01
USD0.044612022-03-01
USD0.042162022-02-01
20212.32%USD 0.549USD0.043092021-12-16
USD0.041152021-12-01
USD0.04272021-11-01
USD0.040392021-10-01
USD0.043922021-09-01
USD0.045182021-08-02
USD0.044192021-07-01
USD0.045432021-06-01
USD0.050062021-05-03
USD0.050012021-04-01
USD0.050912021-03-01
USD0.05192021-02-01
20202.99%USD 0.707USD0.051512020-12-17
USD0.053522020-12-01
USD0.054772020-11-02
USD0.055782020-10-01
USD0.054132020-09-01
USD0.056962020-08-03
USD0.059222020-07-01
USD0.06072020-06-01
USD0.063252020-05-01
USD0.067792020-04-01
USD0.063092020-03-02
USD0.066652020-02-03
20193.51%USD 0.831USD0.064762019-12-19
USD0.06692019-12-02
USD0.065242019-11-01
USD0.064172019-10-01
USD0.068762019-09-03
USD0.07112019-08-01
USD0.0722019-07-01
USD0.071172019-06-03
USD0.070092019-05-01
USD0.071342019-04-01
USD0.072092019-03-01
USD0.073342019-02-01
20183.47%USD 0.821USD0.065712018-12-18
USD0.071452018-12-03
USD0.070832018-11-01
USD0.068822018-10-01
USD0.068312018-09-04
USD0.07112018-08-01
USD0.071182018-07-02
USD0.067332018-06-01
USD0.066242018-05-01
USD0.067052018-04-02
USD0.067072018-03-01
USD0.065652018-02-01
20173.34%USD 0.79USD0.041792017-12-21
USD0.066512017-12-01
USD0.066542017-11-01
USD0.066152017-10-02
USD0.067522017-09-01
USD0.067132017-08-01
USD0.067312017-07-03
USD0.067692017-06-01
USD0.068212017-05-01
USD0.066422017-04-03
USD0.069172017-03-01
USD0.075742017-02-01
20160.87%USD 0.205USD0.029962016-12-22
USD0.082952016-12-01
USD0.09212016-11-01