iShares iBonds Dec 2021 Term Muni Bond ETF(IBMJ) USD 25.5751
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20210.67%USD 0.173USD0.005972021-11-01
USD0.006292021-10-01
USD0.006952021-09-01
USD0.012752021-08-02
USD0.020192021-07-01
USD0.020042021-06-01
USD0.022152021-05-03
USD0.024552021-04-01
USD0.027072021-03-01
USD0.026632021-02-01
20201.38%USD 0.353USD0.026712020-12-17
USD0.029212020-12-01
USD0.02792020-11-02
USD0.03042020-10-01
USD0.027872020-09-01
USD0.028262020-08-03
USD0.029922020-07-01
USD0.02872020-06-01
USD0.031482020-05-01
USD0.031552020-04-01
USD0.032082020-03-02
USD0.029352020-02-03
20191.45%USD 0.371USD0.0312019-12-19
USD0.0322019-12-02
USD0.032019-11-01
USD0.032019-10-01
USD0.032019-09-03
USD0.032019-08-01
USD0.0322019-07-01
USD0.033252019-06-03
USD0.031012019-05-01
USD0.032019-04-01
USD0.032092019-03-01
USD0.030022019-02-01
20181.34%USD 0.342USD0.026722018-12-18
USD0.031832018-12-03
USD0.029452018-11-01
USD0.027892018-10-01
USD0.025452018-09-04
USD0.028152018-08-01
USD0.029322018-07-02
USD0.029032018-06-01
USD0.027252018-05-01
USD0.0292018-04-02
USD0.032032018-03-01
USD0.025942018-02-01
20171.23%USD 0.315USD0.019712017-12-21
USD0.027492017-12-01
USD0.025312017-11-01
USD0.027782017-10-02
USD0.026092017-09-01
USD0.025952017-08-01
USD0.028012017-07-03
USD0.02672017-06-01
USD0.027962017-05-01
USD0.025872017-04-03
USD0.028182017-03-01
USD0.025782017-02-01
20161.20%USD 0.307USD0.00992016-12-22
USD0.025152016-12-01
USD0.022982016-11-01
USD0.025482016-10-03
USD0.025112016-09-01
USD0.025852016-08-01
USD0.028242016-07-01
USD0.027262016-06-01
USD0.027322016-05-02
USD0.028852016-04-01
USD0.031712016-03-01
USD0.029372016-02-01
20150.53%USD 0.134USD0.01052015-12-24
USD0.030322015-12-01
USD0.033032015-11-02
USD0.060452015-10-01