Invesco Fundamental Investment Grade Corporate Bond ETF(PFIG) USD 23.46
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.83%USD 0.194USD0.06562023-03-20
USD0.064482023-02-21
USD0.064312023-01-23
20222.53%USD 0.593USD0.061382022-12-19
USD0.051292022-11-21
USD0.050972022-10-24
USD0.050672022-09-19
USD0.050412022-08-22
USD0.049562022-07-18
USD0.048182022-06-21
USD0.047682022-05-23
USD0.046322022-04-18
USD0.045872022-03-21
USD0.045352022-02-22
USD0.045282022-01-24
20213.72%USD 0.873USD0.3322021-12-20
USD0.046982021-11-22
USD0.047092021-10-18
USD0.047352021-09-20
USD0.047572021-08-23
USD0.048352021-07-19
USD0.048672021-06-21
USD0.049882021-05-24
USD0.050692021-04-19
USD0.05152021-03-22
USD0.051282021-02-22
USD0.052092021-01-19
20203.28%USD 0.77USD0.1562020-12-21
USD0.052812020-11-23
USD0.051132020-10-19
USD0.049182020-09-21
USD0.044552020-08-24
USD0.056422020-07-20
USD0.058142020-06-22
USD0.060292020-05-18
USD0.060512020-04-20
USD0.060192020-03-23
USD0.06052020-02-24
USD0.060222020-01-21
20193.26%USD 0.766USD0.060962019-12-23
USD0.060962019-11-18
USD0.062052019-10-21
USD0.063512019-09-23
USD0.064732019-08-19
USD0.064942019-07-22
USD0.064862019-06-24
USD0.06522019-05-20
USD0.06532019-04-22
USD0.064762019-03-18
USD0.064292019-02-19
USD0.063992019-01-22
20183.02%USD 0.709USD0.060352018-12-24
USD0.062462018-11-19
USD0.061662018-10-22
USD0.061542018-09-24
USD0.059992018-08-20
USD0.06112018-07-23
USD0.059662018-06-18
USD0.059472018-05-21
USD0.058982018-04-23
USD0.057962018-03-19
USD0.056022018-02-20
USD0.049782018-01-22
20172.77%USD 0.649USD0.050192017-12-18
USD0.053492017-11-20
USD0.054752017-10-23
USD0.056012017-09-18
USD0.055082017-08-15
USD0.055012017-07-14
USD0.054652017-06-15
USD0.05522017-05-15
USD0.055242017-04-13
USD0.054612017-03-15
USD0.053542017-02-15
USD0.051382017-01-13
20162.78%USD 0.651USD0.053862016-12-15
USD0.053872016-11-15
USD0.051812016-10-14
USD0.051712016-09-15
USD0.05312016-08-15
USD0.05382016-07-15
USD0.05422016-06-15
USD0.0562016-05-13
USD0.055682016-04-15
USD0.056182016-03-15
USD0.055422016-02-12
USD0.055722016-01-15
20152.74%USD 0.643USD0.056272015-12-15
USD0.055232015-11-13
USD0.051232015-10-15
USD0.050632015-09-15
USD0.053972015-08-14
USD0.053442015-07-15
USD0.05422015-06-15
USD0.054722015-05-15
USD0.053622015-04-15
USD0.053762015-03-13
USD0.053452015-02-13
USD0.052932015-01-15
20142.59%USD 0.608USD0.055052014-12-15
USD0.052014-11-14
USD0.05252014-10-15
USD0.052014-09-15
USD0.052014-08-15
USD0.052014-07-15
USD0.052014-06-13
USD0.052014-05-15
USD0.052014-04-15
USD0.052014-03-14
USD0.052014-02-14
USD0.052014-01-15
20132.32%USD 0.543USD0.012972013-12-24
USD0.0492013-12-13
USD0.0492013-11-15
USD0.0452013-10-15
USD0.0452013-09-13
USD0.0452013-08-15
USD0.0452013-07-15
USD0.042932013-06-14
USD0.042442013-05-15
USD0.042482013-04-15
USD0.042512013-03-15
USD0.040822013-02-15
USD0.041042013-01-15
20122.52%USD 0.592USD0.074462012-12-14
USD0.045832012-11-15
USD0.04042012-10-15
USD0.041262012-09-14
USD0.049872012-08-15
USD0.044372012-07-13
USD0.044292012-06-15
USD0.044622012-05-15
USD0.049432012-04-13
USD0.04842012-03-15
USD0.054642012-02-15
USD0.054032012-01-13
20110.69%USD 0.161USD0.078062011-12-15
USD0.082782011-11-15