iShares iBonds Dec 2024 Term Corporate ETF(IBDP) USD 24.6
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.72%USD 0.177USD0.058982023-04-03
USD0.059292023-03-01
USD0.059162023-02-01
20222.05%USD 0.503USD0.050012022-12-15
USD0.05072022-12-01
USD0.047512022-11-01
USD0.04592022-10-03
USD0.04362022-09-01
USD0.040592022-08-01
USD0.037212022-07-01
USD0.037982022-06-01
USD0.038042022-05-02
USD0.036412022-04-01
USD0.039112022-03-01
USD0.036222022-02-01
20211.96%USD 0.482USD0.03762021-12-16
USD0.035882021-12-01
USD0.036852021-11-01
USD0.038972021-10-01
USD0.037082021-09-01
USD0.038272021-08-02
USD0.041632021-07-01
USD0.04032021-06-01
USD0.041792021-05-03
USD0.042132021-04-01
USD0.045692021-03-01
USD0.046032021-02-01
20202.71%USD 0.666USD0.047062020-12-17
USD0.049412020-12-01
USD0.050612020-11-02
USD0.053092020-10-01
USD0.053032020-09-01
USD0.05412020-08-03
USD0.055522020-07-01
USD0.057422020-06-01
USD0.05972020-05-01
USD0.064532020-04-01
USD0.060582020-03-02
USD0.061282020-02-03
20193.29%USD 0.809USD0.060632019-12-19
USD0.065372019-12-02
USD0.067132019-11-01
USD0.066422019-10-01
USD0.065872019-09-03
USD0.064172019-08-01
USD0.069042019-07-01
USD0.069752019-06-03
USD0.06642019-05-01
USD0.071172019-04-01
USD0.07132019-03-01
USD0.072222019-02-01
20183.25%USD 0.801USD0.060962018-12-18
USD0.069572018-12-03
USD0.072272018-11-01
USD0.068182018-10-01
USD0.06842018-09-04
USD0.068052018-08-01
USD0.064712018-07-02
USD0.06832018-06-01
USD0.062172018-05-01
USD0.066292018-04-02
USD0.06642018-03-01
USD0.065312018-02-01
20173.20%USD 0.788USD0.04522017-12-21
USD0.066362017-12-01
USD0.066722017-11-01
USD0.067312017-10-02
USD0.066872017-09-01
USD0.067172017-08-01
USD0.0682017-07-03
USD0.069932017-06-01
USD0.067982017-05-01
USD0.067622017-04-03
USD0.068532017-03-01
USD0.06672017-02-01
20163.22%USD 0.792USD0.043412016-12-22
USD0.065452016-12-01
USD0.066882016-11-01
USD0.067112016-10-03
USD0.067442016-09-01
USD0.068332016-08-01
USD0.068062016-07-01
USD0.069362016-06-01
USD0.064642016-05-02
USD0.069962016-04-01
USD0.070312016-03-01
USD0.07082016-02-01
20152.47%USD 0.608USD0.052592015-12-24
USD0.065572015-12-01
USD0.066312015-11-02
USD0.066042015-10-01
USD0.06532015-09-01
USD0.065032015-08-03
USD0.064872015-07-01
USD0.065312015-06-01
USD0.09662015-05-01