iShares International Treasury Bond ETF(IGOV) USD 39.96
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20220.11%USD 0.042USD0.0422022-12-15
20210.49%USD 0.197USD0.196852021-12-16
20190.31%USD 0.122USD0.121932019-12-19
20180.38%USD 0.151USD0.150992018-12-18
20170.23%USD 0.094USD0.0212017-12-21
USD0.00952017-08-01
USD0.00952017-07-03
USD0.012017-06-01
USD0.01022017-05-01
USD0.01092017-04-03
USD0.01152017-03-01
USD0.01092017-02-01
20160.78%USD 0.312USD0.23892016-12-22
USD0.01132016-12-01
USD0.00922016-11-01
USD0.00892016-10-03
USD0.00812016-09-01
USD0.00772016-08-01
USD0.00742016-07-01
USD0.00692016-06-01
USD0.00692016-05-02
USD0.00652016-04-01
20150.24%USD 0.097USD0.0122015-12-24
USD0.00542015-09-01
USD0.00492015-08-03
USD0.0052015-07-01
USD0.0052015-06-01
USD0.0052015-05-01
USD0.00512015-04-01
USD0.052015-03-02
USD0.0052015-02-02
20141.55%USD 0.62USD0.0612014-12-24
USD0.0052014-12-01
USD0.022014-11-03
USD0.05992014-10-01
USD0.062014-09-02
USD0.05992014-08-01
USD0.05982014-07-01
USD0.05942014-06-02
USD0.05852014-05-01
USD0.05852014-04-01
USD0.05852014-03-03
USD0.05922014-02-03
20131.65%USD 0.659USD0.06472013-12-26
USD0.12472013-12-02
USD0.12482013-11-01
USD0.06732013-10-01
USD0.05492013-09-03
USD0.04492013-08-01
USD0.02992013-07-01
USD0.02012013-06-03
USD0.02012013-05-01
USD0.02162013-04-01
USD0.04322013-03-01
USD0.0432013-02-01
20122.73%USD 1.091USD0.32262012-12-26
USD0.032012-12-03
USD0.0442012-11-01
USD0.12162012-10-01
USD0.07672012-09-04
USD0.05632012-08-01
USD0.05632012-07-02
USD0.05632012-06-01
USD0.07282012-05-01
USD0.07282012-04-02
USD0.08092012-03-01
USD0.10112012-02-01
20115.02%USD 2.006USD0.38112011-12-27
USD0.27412011-12-01
USD0.16662011-11-01
USD0.15322011-10-03
USD0.1982011-09-01
USD0.17172011-08-01
USD0.12192011-07-01
USD0.11732011-06-01
USD0.11252011-05-02
USD0.11312011-04-01
USD0.09592011-03-01
USD0.10062011-02-01
20102.86%USD 1.143USD0.15252010-12-28
USD0.09992010-12-01
USD0.09172010-11-01
USD0.10092010-10-01
USD0.10452010-09-01
USD0.10362010-08-02
USD0.04512010-07-01
USD0.09162010-06-01
USD0.0862010-05-03
USD0.08582010-04-01
USD0.08662010-03-01
USD0.09452010-02-01
20092.46%USD 0.984USD0.03612009-12-29
USD0.20772009-12-01
USD0.0582009-11-02
USD0.0832009-10-01
USD0.12892009-09-01
USD0.12972009-08-03
USD0.09312009-07-01
USD0.07032009-06-01
USD0.0092009-05-01
USD0.07152009-04-01
USD0.0972009-03-02