iShares Russell Mid-Cap ETF(IWR) USD 70.12
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.37%USD 0.256USD0.256452023-03-23
20221.53%USD 1.072USD0.33412022-12-13
USD0.317922022-09-26
USD0.205282022-06-09
USD0.215032022-03-24
20211.24%USD 0.867USD0.256752021-12-13
USD0.263862021-09-24
USD0.154572021-06-10
USD0.192222021-03-25
20201.25%USD 0.876USD0.229442020-12-14
USD0.217332020-09-23
USD0.163282020-06-15
USD0.265972020-03-25
20191.22%USD 0.852USD0.263992019-12-16
USD0.209912019-09-24
USD0.193272019-06-17
USD0.18482019-03-20
20181.31%USD 0.918USD0.214242018-12-17
USD0.30652018-09-26
USD0.2252018-07-03
USD0.17252018-03-22
20171.13%USD 0.789USD0.232017-12-21
USD0.21132017-09-26
USD0.19362017-07-06
USD0.15422017-03-24
20161.10%USD 0.768USD0.2622016-12-22
USD0.13812016-09-26
USD0.17992016-07-06
USD0.18832016-03-23
20150.91%USD 0.637USD0.21962015-12-24
USD0.12512015-09-25
USD0.1612015-07-02
USD0.13162015-03-25
20140.86%USD 0.606USD0.20362014-12-24
USD0.1112014-09-24
USD0.16072014-07-02
USD0.13032014-03-25
20130.70%USD 0.493USD0.15942013-12-23
USD0.10142013-09-24
USD0.13122013-07-02
USD0.10072013-03-25
20120.73%USD 0.513USD0.20562012-12-19
USD0.10752012-09-24
USD0.112012-06-26
USD0.092012-03-23
20110.56%USD 0.39USD0.12672011-12-22
USD0.08132011-09-23
USD0.09232011-07-05
USD0.08932011-03-24
20100.53%USD 0.37USD0.1172010-12-22
USD0.11082010-09-23
USD0.07922010-07-02
USD0.06252010-03-24
20090.44%USD 0.31USD0.10192009-12-23
USD0.06052009-09-22
USD0.07952009-07-02
USD0.06842009-03-24
20080.44%USD 0.312USD0.10372008-12-23
USD0.0682008-09-24
USD0.0892008-07-02
USD0.05082008-03-24
20070.51%USD 0.355USD0.11052007-12-27
USD0.07612007-09-25
USD0.08132007-06-28
USD0.08752007-03-23
20060.47%USD 0.328USD0.09772006-12-20
USD0.07442006-09-26
USD0.08322006-06-22
USD0.07282006-03-24
20050.44%USD 0.309USD0.10132005-12-22
USD0.07062005-09-23
USD0.05032005-06-20
USD0.08652005-03-24
20040.31%USD 0.22USD0.0632004-12-23
USD0.05732004-09-24
USD0.04782004-06-25
USD0.05172004-03-26
20030.31%USD 0.22USD0.038752003-12-16
USD0.06432003-12-12
USD0.04452003-09-12
USD0.04242003-06-13
USD0.02982003-03-07
20020.19%USD 0.132USD0.04562002-12-13
USD0.03532002-09-13
USD0.03892002-06-14
USD0.01172002-03-08
20010.12%USD 0.088USD0.0482001-12-14
USD0.03952001-10-01