NuShares Enhanced Yield US Aggregate Bond(NUAG) USD 20.905
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.89%USD 0.186USD0.06762023-04-03
USD0.05982023-03-01
USD0.0592023-02-01
20223.52%USD 0.737USD0.08362022-12-15
USD0.07352022-12-01
USD0.07912022-11-01
USD0.09442022-10-03
USD0.0532022-09-01
USD0.05312022-08-01
USD0.07342022-07-01
USD0.04812022-06-01
USD0.04942022-05-02
USD0.04722022-04-01
USD0.04152022-03-01
USD0.04062022-02-01
20212.68%USD 0.56USD0.05662021-12-16
USD0.04532021-12-01
USD0.03942021-11-01
USD0.04422021-10-01
USD0.0272021-09-01
USD0.01882021-08-02
USD0.04832021-07-01
USD0.11412021-06-01
USD0.03512021-05-03
USD0.06772021-04-01
USD0.04062021-03-01
USD0.0232021-02-01
20203.60%USD 0.753USD0.05892020-12-17
USD0.05112020-12-01
USD0.04752020-11-02
USD0.12252020-10-01
USD0.0262020-09-01
USD0.05922020-08-03
USD0.09382020-07-01
USD0.03562020-06-01
USD0.11922020-05-01
USD0.05552020-04-01
USD0.05762020-03-02
USD0.02622020-02-03
20194.17%USD 0.873USD0.07752019-12-27
USD0.09682019-12-02
USD0.08712019-11-01
USD0.05122019-10-01
USD0.06652019-09-03
USD0.0692019-08-01
USD0.1712019-07-01
USD0.07232019-06-03
USD0.0292019-05-01
USD0.05272019-04-01
USD0.0492019-03-01
USD0.05042019-02-01
20184.21%USD 0.879USD0.0652018-12-26
USD0.0722018-12-03
USD0.10622018-11-01
USD0.07012018-10-01
USD0.0342018-09-13
USD0.06562018-09-04
USD0.03362018-08-01
USD0.12282018-07-02
USD0.05252018-06-01
USD0.06792018-05-01
USD0.06612018-04-02
USD0.06612018-03-01
USD0.05732018-02-01
20173.94%USD 0.824USD0.13122017-12-26
USD0.06362017-12-01
USD0.06412017-11-01
USD0.06222017-10-02
USD0.06212017-09-01
USD0.06382017-08-01
USD0.0642017-07-03
USD0.06942017-06-01
USD0.06062017-05-01
USD0.06072017-04-03
USD0.06022017-03-01
USD0.06242017-02-01
20160.90%USD 0.189USD0.07822016-12-23
USD0.05332016-12-01
USD0.0572016-11-01