iShares 0-5 Year Investment Grade Corporate Bond ETF(SLQD) USD 48.41
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.68%USD 0.328USD0.113062023-04-03
USD0.113122023-03-01
USD0.102142023-02-01
20221.97%USD 0.955USD0.114072022-12-15
USD0.101522022-12-01
USD0.098872022-11-01
USD0.099272022-10-03
USD0.095572022-09-01
USD0.068262022-08-01
USD0.073722022-07-01
USD0.064022022-06-01
USD0.061532022-05-02
USD0.058962022-04-01
USD0.062912022-03-01
USD0.056292022-02-01
20211.77%USD 0.855USD0.063362021-12-16
USD0.1282021-12-01
USD0.056062021-11-01
USD0.060812021-10-01
USD0.058422021-09-01
USD0.062822021-08-02
USD0.06562021-07-01
USD0.064422021-06-01
USD0.070182021-05-03
USD0.069852021-04-01
USD0.074682021-03-01
USD0.080812021-02-01
20202.51%USD 1.214USD0.086132020-12-17
USD0.08962020-12-01
USD0.08752020-11-02
USD0.091982020-10-01
USD0.092672020-09-01
USD0.103392020-08-03
USD0.102132020-07-01
USD0.100762020-06-01
USD0.111522020-05-01
USD0.119862020-04-01
USD0.110112020-03-02
USD0.118252020-02-03
20193.05%USD 1.477USD0.124452019-12-19
USD0.130342019-12-02
USD0.123572019-11-01
USD0.12082019-10-01
USD0.124262019-09-03
USD0.121112019-08-01
USD0.120432019-07-01
USD0.121962019-06-03
USD0.120762019-05-01
USD0.124682019-04-01
USD0.121912019-03-01
USD0.122322019-02-01
20182.61%USD 1.265USD0.119522018-12-18
USD0.11982018-12-03
USD0.112942018-11-01
USD0.110452018-10-01
USD0.103892018-09-04
USD0.11262018-08-01
USD0.104432018-07-02
USD0.105112018-06-01
USD0.096722018-05-01
USD0.094892018-04-02
USD0.094822018-03-01
USD0.090122018-02-01
20172.05%USD 0.993USD0.057912017-12-21
USD0.088992017-12-01
USD0.08722017-11-01
USD0.088152017-10-02
USD0.086522017-09-01
USD0.08552017-08-01
USD0.086212017-07-03
USD0.084422017-06-01
USD0.084812017-05-01
USD0.082352017-04-03
USD0.080162017-03-01
USD0.081152017-02-01
20161.88%USD 0.911USD0.058942016-12-22
USD0.082016-12-01
USD0.079252016-11-01
USD0.080382016-10-03
USD0.079232016-09-01
USD0.079512016-08-01
USD0.079432016-07-01
USD0.078322016-06-01
USD0.074742016-05-02
USD0.07442016-04-01
USD0.074452016-03-01
USD0.072262016-02-01
20151.48%USD 0.717USD0.065892015-12-24
USD0.066942015-12-01
USD0.065172015-11-02
USD0.059272015-10-01
USD0.056042015-09-01
USD0.059722015-08-03
USD0.057032015-07-01
USD0.0572015-06-01
USD0.060422015-05-01
USD0.060072015-04-01
USD0.055242015-03-02
USD0.054532015-02-02
20141.28%USD 0.621USD0.050142014-12-24
USD0.053722014-12-01
USD0.049012014-11-03
USD0.049032014-10-01
USD0.050012014-09-02
USD0.0512014-08-01
USD0.050542014-07-01
USD0.053652014-06-02
USD0.054542014-05-01
USD0.050982014-04-01
USD0.057042014-03-03
USD0.051682014-02-03
20130.23%USD 0.114USD0.04672013-12-26
USD0.066832013-12-02