PIMCO 1-5 Year U.S. TIPS Index Exchange-Traded Fund(STPZ) USD 50.82
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.20%USD 0.1USD0.12023-04-03
20225.77%USD 2.93USD0.12022-12-29
USD0.022022-12-01
USD0.632022-09-01
USD0.452022-08-01
USD0.212022-07-01
USD0.562022-06-01
USD0.392022-05-02
USD0.332022-04-01
USD0.092022-03-01
USD0.152022-02-01
20213.96%USD 2.015USD0.212021-12-30
USD0.0352021-12-01
USD0.142021-10-01
USD0.342021-09-01
USD0.322021-08-02
USD0.312021-07-01
USD0.282021-06-01
USD0.222021-05-03
USD0.162021-04-01
20201.99%USD 1.01USD0.062020-12-01
USD0.162020-11-02
USD0.252020-10-01
USD0.232020-09-01
USD0.142020-05-01
USD0.172020-04-01
20191.81%USD 0.92USD0.212019-12-30
USD0.122019-12-02
USD0.082019-11-01
USD0.162019-10-01
USD0.032019-09-03
USD0.122019-08-01
USD0.22019-07-01
20182.39%USD 1.215USD0.082018-12-28
USD0.162018-12-03
USD0.0652018-11-01
USD0.082018-09-04
USD0.172018-08-01
USD0.192018-07-02
USD0.122018-06-01
USD0.22018-05-01
USD0.152018-04-02
20171.55%USD 0.786USD0.010032017-12-28
USD0.242017-12-01
USD0.052017-11-01
USD0.012017-09-01
USD0.0262017-08-01
USD0.142017-07-03
USD0.032017-06-01
USD0.132017-05-01
USD0.152017-04-03
20160.67%USD 0.34USD0.042016-12-01
USD0.142016-09-01
USD0.162016-08-01
20150.49%USD 0.25USD0.152015-08-31
USD0.12015-07-31
20140.88%USD 0.445USD0.062014-08-29
USD0.1252014-07-31
USD0.142014-06-30
USD0.122014-05-30
20130.10%USD 0.05USD0.012013-11-29
USD0.032013-08-30
USD0.012013-07-31
20121.01%USD 0.512USD0.002472012-12-12
USD0.062012-11-30
USD0.00912012-10-31
USD0.172012-06-29
USD0.262012-05-31
USD0.012012-04-30
20113.25%USD 1.651USD0.072011-12-07
USD0.051812011-11-30
USD0.065752011-10-31
USD0.196022011-07-29
USD0.306272011-06-30
USD0.452282011-05-31
USD0.213922011-04-29
USD0.209192011-03-31
USD0.071462011-02-28
USD0.01392011-01-31
20101.15%USD 0.585USD0.056962010-12-29
USD0.01392010-12-08
USD0.032332010-11-30
USD0.020222010-10-29
USD0.038482010-07-30
USD0.110632010-06-30
USD0.168342010-05-28
USD0.017672010-04-30
USD0.078772010-03-31
USD0.04732010-01-29
20090.70%USD 0.357USD0.057412009-12-29
USD0.003012009-12-16
USD0.061042009-11-30
USD0.109712009-10-30
USD0.125712009-08-31