ProShares Investment Grade—Interest Rate Hedged(IGHG) USD 71.99
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.20%USD 0.867USD0.291522023-04-03
USD0.286972023-03-01
USD0.288482023-02-01
20223.50%USD 2.522USD0.256712022-12-22
USD0.292742022-12-01
USD0.242952022-11-01
USD0.229372022-10-03
USD0.200392022-09-01
USD0.198682022-08-01
USD0.21192022-07-01
USD0.190212022-06-01
USD0.187472022-05-02
USD0.184992022-04-01
USD0.185982022-03-01
USD0.140482022-02-01
20212.58%USD 1.859USD0.178322021-12-23
USD0.152452021-12-01
USD0.150352021-11-01
USD0.153342021-10-01
USD0.14972021-09-01
USD0.14682021-08-02
USD0.158352021-07-01
USD0.155732021-06-01
USD0.164932021-05-03
USD0.152152021-04-01
USD0.155262021-03-01
USD0.141372021-02-01
20202.92%USD 2.104USD0.165762020-12-23
USD0.146242020-12-01
USD0.105312020-11-02
USD0.175762020-10-01
USD0.172922020-09-01
USD0.176922020-08-03
USD0.183872020-07-01
USD0.179022020-06-01
USD0.183462020-05-01
USD0.219432020-04-01
USD0.196282020-03-02
USD0.199412020-02-03
20193.74%USD 2.693USD0.227932019-12-24
USD0.21442019-12-02
USD0.212392019-11-01
USD0.211212019-10-01
USD0.218252019-09-03
USD0.222812019-08-01
USD0.224642019-07-01
USD0.238122019-06-03
USD0.242582019-05-01
USD0.25222019-04-01
USD0.217622019-03-01
USD0.210932019-02-01
20184.08%USD 2.935USD0.304142018-12-26
USD0.275612018-12-03
USD0.255512018-11-01
USD0.241212018-10-01
USD0.257172018-09-04
USD0.23362018-08-01
USD0.248622018-07-02
USD0.233522018-06-01
USD0.235282018-05-01
USD0.226642018-04-02
USD0.220242018-03-01
USD0.203022018-02-01
20173.60%USD 2.592USD0.217592017-12-26
USD0.219092017-12-01
USD0.217322017-11-01
USD0.221452017-10-02
USD0.218532017-09-01
USD0.218032017-08-01
USD0.208892017-07-03
USD0.222272017-06-01
USD0.208112017-05-01
USD0.236012017-04-03
USD0.194382017-03-01
USD0.210022017-02-01
20163.57%USD 2.57USD0.194982016-12-21
USD0.196442016-12-01
USD0.207162016-11-01
USD0.196492016-10-03
USD0.207472016-09-01
USD0.214332016-08-01
USD0.215782016-07-01
USD0.228672016-06-01
USD0.230312016-05-02
USD0.225122016-04-01
USD0.212282016-03-01
USD0.241142016-02-01
20153.71%USD 2.669USD0.179182015-12-22
USD0.223142015-12-01
USD0.24532015-11-02
USD0.236052015-10-01
USD0.245712015-09-01
USD0.230722015-08-03
USD0.227812015-07-01
USD0.226462015-06-01
USD0.204282015-05-01
USD0.195162015-04-01
USD0.221282015-03-02
USD0.233962015-02-02
20143.85%USD 2.773USD0.213092014-12-22
USD0.23682014-12-01
USD0.241782014-11-03
USD0.231932014-10-01
USD0.230622014-09-02
USD0.231442014-08-01
USD0.215042014-07-01
USD0.235152014-06-02
USD0.232212014-05-01
USD0.198862014-04-01
USD0.231892014-03-03
USD0.27462014-02-03
20130.63%USD 0.454USD0.258832013-12-24
USD0.194932013-12-02