iShares Canadian Select Dividend Index ETF(ISDJF) USD 21.5
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20223.21%USD 0.691USD0.0742022-09-23
USD0.0772022-08-25
USD0.0772022-07-25
USD0.0722022-06-24
USD0.0732022-05-24
USD0.0732022-04-25
USD0.0822022-03-25
USD0.0812022-02-22
USD0.0822022-01-25
20214.40%USD 0.946USD0.0822021-12-30
USD0.084262021-11-23
USD0.086292021-10-25
USD0.079192021-09-24
USD0.08022021-08-25
USD0.08022021-07-26
USD0.079192021-06-24
USD0.081222021-05-21
USD0.078172021-04-26
USD0.072082021-03-25
USD0.072082021-02-22
USD0.071072021-01-25
20204.06%USD 0.873USD0.068022020-12-30
USD0.065992020-11-24
USD0.065992020-10-26
USD0.062942020-09-24
USD0.063962020-08-25
USD0.062942020-07-27
USD0.090362020-06-24
USD0.088332020-05-22
USD0.087312020-04-24
USD0.068022020-03-25
USD0.074112020-02-24
USD0.075132020-01-27
20193.52%USD 0.757USD0.07312019-12-30
USD0.072082019-11-26
USD0.07312019-10-25
USD0.069042019-09-24
USD0.069042019-08-26
USD0.069042019-07-25
USD0.064982019-06-19
USD0.063962019-05-24
USD0.063962019-04-24
USD0.069042019-03-25
USD0.070052019-02-22
20183.93%USD 0.846USD0.083252018-12-28
USD0.085282018-11-27
USD0.087312018-10-25
USD0.068022018-09-19
USD0.068022018-08-27
USD0.067012018-07-25
USD0.060912018-06-25
USD0.061932018-05-25
USD0.061932018-04-24
USD0.065992018-03-23
USD0.067012018-02-22
USD0.069042018-01-25
20173.22%USD 0.691USD0.067012017-12-28
USD0.067012017-11-22
USD0.071072017-09-25
USD0.070052017-08-24
USD0.070052017-07-24
USD0.058882017-06-23
USD0.057872017-05-24
USD0.057872017-04-21
USD0.056852017-03-24
USD0.057872017-02-21
USD0.056852017-01-24
20163.42%USD 0.736USD0.055842016-12-28
USD0.056852016-11-23
USD0.056852016-10-24
USD0.064982016-09-14
USD0.065992016-08-24
USD0.064982016-07-22
USD0.061932016-06-15
USD0.060912016-05-24
USD0.061932016-04-22
USD0.063962016-03-16
USD0.061932016-02-22
USD0.05992016-01-22
20153.73%USD 0.802USD0.058882015-12-29
USD0.060912015-11-23
USD0.062942015-10-23
USD0.061932015-09-16
USD0.061932015-08-24
USD0.062942015-07-24
USD0.071072015-06-17
USD0.072082015-05-22
USD0.071072015-04-23
USD0.065992015-03-18
USD0.084262015-02-20
USD0.068022015-01-23
20144.09%USD 0.879USD0.068022014-12-29
USD0.070052014-11-21
USD0.070052014-10-24
USD0.074112014-09-17
USD0.074112014-08-22
USD0.076142014-07-24
USD0.078172014-06-18
USD0.078172014-05-23
USD0.077162014-04-23
USD0.071072014-03-19
USD0.071072014-02-21
USD0.071072014-01-24
20130.35%USD 0.076USD0.076142013-12-27