WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund(AGZD) USD 43.64
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.80%USD 0.35USD0.122023-03-27
USD0.1152023-02-22
USD0.1152023-01-25
20228.58%USD 3.743USD0.2052022-12-23
USD2.610152022-12-07
USD0.142022-11-23
USD0.112022-10-25
USD0.112022-09-26
USD0.0952022-08-25
USD0.0952022-07-25
USD0.082022-06-24
USD0.072022-05-24
USD0.062022-04-25
USD0.0552022-03-25
USD0.0552022-02-22
USD0.05752022-01-25
20211.77%USD 0.774USD0.072021-12-27
USD0.0652021-11-23
USD0.0652021-10-25
USD0.062021-09-24
USD0.062021-08-25
USD0.062021-07-26
USD0.0582021-06-24
USD0.0582021-05-24
USD0.0552021-04-26
USD0.0552021-03-25
USD0.08252021-02-22
USD0.0852021-01-25
20202.46%USD 1.075USD0.0852020-12-21
USD0.0852020-11-23
USD0.092020-10-27
USD0.0852020-09-22
USD0.08252020-08-25
USD0.08252020-07-28
USD0.08252020-06-23
USD0.0852020-05-26
USD0.092020-04-21
USD0.09752020-03-24
USD0.1052020-02-25
USD0.1052020-01-21
20193.11%USD 1.359USD0.10332019-12-23
USD0.1112019-11-25
USD0.1152019-10-22
USD0.122019-09-24
USD0.122019-08-27
USD0.1152019-07-23
USD0.1152019-06-24
USD0.1152019-05-28
USD0.1152019-04-23
USD0.112019-03-26
USD0.112019-02-19
USD0.112019-01-22
20182.83%USD 1.237USD0.129032018-12-24
USD0.1152018-11-20
USD0.112018-10-23
USD0.112018-09-25
USD0.1052018-08-21
USD0.12018-07-24
USD0.10752018-06-25
USD0.12018-05-22
USD0.0952018-04-24
USD0.092018-03-20
USD0.0852018-02-20
USD0.092018-01-23
20172.60%USD 1.136USD0.123892017-12-26
USD0.0952017-11-21
USD0.0952017-10-24
USD0.09752017-09-26
USD0.0952017-08-21
USD0.0952017-07-24
USD0.0952017-06-26
USD0.0952017-05-22
USD0.0952017-04-24
USD0.092017-03-27
USD0.082017-02-17
USD0.082017-01-23
20162.00%USD 0.872USD0.096522016-12-23
USD0.0752016-11-21
USD0.072016-10-24
USD0.072016-09-26
USD0.072016-08-22
USD0.072016-07-25
USD0.072016-06-20
USD0.072016-05-23
USD0.072016-04-25
USD0.072016-03-21
USD0.072016-02-22
USD0.072016-01-25
20151.83%USD 0.8USD0.072015-12-21
USD0.072015-11-23
USD0.072015-10-26
USD0.072015-09-21
USD0.072015-08-24
USD0.072015-07-27
USD0.072015-06-22
USD0.0652015-05-22
USD0.0652015-04-20
USD0.062015-03-23
USD0.062015-02-23
USD0.062015-01-26
20141.91%USD 0.832USD0.076532014-12-19
USD0.0652014-11-21
USD0.052014-10-27
USD0.042014-09-22
USD0.0752014-08-25
USD0.0752014-07-21
USD0.0752014-06-23
USD0.0752014-05-23
USD0.0752014-04-21
USD0.0752014-03-24
USD0.0752014-02-24
USD0.0752014-01-27
20130.06%USD 0.025USD0.0252013-12-24