iShares iBonds Dec 2031 Term Corporate ETF
IBDW
#751
ETF rank
$2.04 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
$21.18
Share price
-0.05%
Change (1 day)
7.02%
Change (1 year)

iShares iBonds Dec 2031 Term Corporate ETF (IBDW) - Distributions and Dividends

Distributions paid over the last 12 months: 1.011773 USD
Current distribution yield: 4.78%

Yearly distributions/payments for iShares iBonds Dec 2031 Term Corporate ETF (IBDW)

Distributions Yield for iShares iBonds Dec 2031 Term Corporate ETF (IBDW)

Distributions History

DatePay DateRecord DateAmountCurrency
2025-12-042025-12-042025-12-010.0826USD
2025-11-062025-11-062025-11-030.0830USD
2025-10-062025-10-062025-10-010.0828USD
2025-09-052025-09-052025-09-020.0829USD
2025-08-062025-08-062025-08-010.0832USD
2025-07-072025-07-072025-07-010.0847USD
2025-06-052025-06-052025-06-020.0851USD
2025-05-062025-05-062025-05-010.0858USD
2025-04-042025-04-042025-04-010.0857USD
2025-03-062025-03-062025-03-030.0838USD
2025-02-062025-02-062025-02-030.0853USD
2024-12-232024-12-232024-12-180.0870USD
2024-12-052024-12-052024-12-020.0840USD
2024-11-062024-11-062024-11-010.0846USD
2024-10-042024-10-042024-10-010.0833USD
2024-09-062024-09-062024-09-030.0866USD
2024-08-062024-08-062024-08-010.0847USD
2024-07-052024-07-052024-07-010.0851USD
2024-06-072024-06-072024-06-030.0858USD
2024-05-072024-05-072024-05-020.0852USD
2024-04-052024-04-052024-04-020.0855USD
2024-03-072024-03-072024-03-040.0830USD
2024-02-072024-02-072024-02-020.0830USD
2023-12-202023-12-202023-12-150.0845USD
2023-12-072023-12-072023-12-040.0823USD
2023-11-072023-11-072023-11-020.0804USD
2023-10-062023-10-062023-10-030.0810USD
2023-09-082023-09-082023-09-050.0794USD
2023-08-072023-08-072023-08-020.0798USD
2023-07-102023-07-102023-07-050.0795USD
2023-06-072023-06-072023-06-020.0784USD
2023-05-052023-05-052023-05-020.0736USD
2023-04-072023-04-072023-04-040.0798USD
2023-03-072023-03-072023-03-020.0741USD
2023-02-072023-02-072023-02-020.0623USD
2023-01-052023-01-052022-12-300.0121USD
2022-12-212022-12-212022-12-160.0663USD
2022-12-072022-12-072022-12-020.0697USD
2022-11-072022-11-072022-11-020.0872USD
2022-10-072022-10-072022-10-040.0645USD
2022-09-082022-09-082022-09-020.0685USD
2022-08-052022-08-052022-08-020.0615USD
2022-07-082022-07-082022-07-050.0664USD
2022-06-072022-06-072022-06-020.0630USD
2022-05-062022-05-062022-05-030.0300USD
2022-04-072022-04-072022-04-040.0484USD
2022-03-072022-03-072022-03-020.0501USD
2022-02-072022-02-072022-02-020.0477USD
2021-12-222021-12-222021-12-170.0440USD
2021-12-072021-12-072021-12-020.0438USD
2021-11-052021-11-052021-11-020.0430USD
2021-10-072021-10-072021-10-040.0462USD
2021-09-082021-09-082021-09-020.0469USD
2021-08-062021-08-062021-08-030.0501USD