iShares Morningstar Value ETF(JKF) USD 65.0309
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.56%USD 0.365USD0.364562023-03-23
20222.26%USD 1.468USD0.402632022-12-13
USD0.467342022-09-26
USD0.270032022-06-09
USD0.328112022-03-24
20212.70%USD 1.757USD0.403542021-12-13
USD0.389592021-09-24
USD0.250852021-06-10
USD0.712532021-03-25
20205.11%USD 3.324USD0.8092020-12-14
USD0.8272020-09-23
USD0.82020-06-15
USD0.8882020-03-25
20194.86%USD 3.163USD0.8952019-12-16
USD0.8832019-09-24
USD0.6782019-06-17
USD0.7072019-03-20
20184.35%USD 2.826USD0.7852018-12-17
USD0.6892018-09-26
USD0.6952018-06-26
USD0.6572018-03-22
20173.77%USD 2.452USD0.6712017-12-19
USD0.6282017-09-26
USD0.5972017-06-27
USD0.5562017-03-24
20164.00%USD 2.599USD0.7052016-12-21
USD0.6272016-09-26
USD0.6312016-06-21
USD0.6362016-03-23
20153.79%USD 2.464USD0.652015-12-24
USD0.6432015-09-25
USD0.6072015-06-24
USD0.5642015-03-25
20143.23%USD 2.102USD0.582014-12-24
USD0.5382014-09-24
USD0.5222014-06-24
USD0.4622014-03-25
20133.11%USD 2.02USD0.6222013-12-23
USD0.6382013-09-24
USD0.3312013-06-26
USD0.4292013-03-25
20122.87%USD 1.867USD0.5092012-12-19
USD0.482012-09-25
USD0.4472012-06-19
USD0.4312012-03-26
20112.63%USD 1.71USD0.5152011-12-22
USD0.4382011-09-26
USD0.4182011-06-23
USD0.3392011-03-25
20102.33%USD 1.518USD0.4362010-12-23
USD0.3862010-09-24
USD0.3732010-06-23
USD0.3232010-03-25
20092.54%USD 1.651USD0.4112009-12-24
USD0.3792009-09-23
USD0.3852009-06-23
USD0.4762009-03-25
20083.43%USD 2.229USD0.475632008-12-24
USD0.581572008-09-25
USD0.58642008-06-24
USD0.584922008-03-25
20074.02%USD 2.613USD0.732042007-12-27
USD0.678122007-09-26
USD0.610152007-06-29
USD0.592452007-03-26
20062.94%USD 1.915USD0.571942006-12-21
USD0.405612006-09-27
USD0.489692006-06-23
USD0.447272006-03-27
20052.58%USD 1.68USD0.452162005-12-23
USD0.434772005-09-26
USD0.435112005-06-21
USD0.358292005-03-28
20041.32%USD 0.859USD0.442882004-12-27
USD0.416262004-09-27