Invesco BLDRS Emerging Markets 50 ADR Index Fund(ADRE) USD 38.2
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.09%USD 1.564USD0.378972022-12-19
USD0.551952022-09-19
USD0.552112022-06-21
USD0.080922022-03-21
20213.11%USD 1.188USD0.721712021-12-20
USD0.26922021-09-20
USD0.144232021-06-21
USD0.052872021-03-22
20201.40%USD 0.535USD0.203782020-12-21
USD0.144832020-09-21
USD0.170162020-06-22
USD0.016012020-03-23
20192.01%USD 0.766USD0.255862019-12-23
USD0.287632019-09-23
USD0.206562019-06-24
USD0.016092019-03-18
20182.04%USD 0.778USD0.119932018-12-24
USD0.42072018-09-24
USD0.228472018-06-18
USD0.008512018-03-19
20171.80%USD 0.688USD0.103952017-12-18
USD0.4052017-09-18
USD0.158852017-06-16
USD0.020652017-03-17
20161.47%USD 0.563USD0.162762016-12-16
USD0.258612016-09-16
USD0.128212016-06-17
USD0.013332016-03-18
20151.97%USD 0.752USD0.302872015-12-18
USD0.431592015-09-18
USD0.0182015-03-20
20142.19%USD 0.837USD0.437822014-12-19
USD0.294622014-09-19
USD0.104962014-06-20
20132.51%USD 0.961USD0.430582013-12-20
USD0.217972013-09-20
USD0.311982013-06-21
20122.59%USD 0.988USD0.376892012-12-24
USD0.253172012-09-21
USD0.357842012-06-15
20113.37%USD 1.288USD0.389662011-12-16
USD0.435242011-09-16
USD0.44312011-06-17
USD0.020282011-03-18
20102.03%USD 0.774USD0.253022010-12-17
USD0.252512010-09-17
USD0.26872010-06-18
20092.01%USD 0.769USD0.021422009-12-31
USD0.0732009-12-18
USD0.29762009-09-18
USD0.27462009-06-19
USD0.10272009-03-20
20082.55%USD 0.975USD0.17222008-12-19
USD0.29832008-09-19
USD0.40292008-06-20
USD0.10112008-03-20
20072.20%USD 0.842USD0.1582007-12-21
USD0.24942007-09-21
USD0.38742007-06-15
USD0.0472007-03-16
20061.54%USD 0.589USD0.12362006-12-15
USD0.20952006-09-15
USD0.1892006-06-16
USD0.06642006-03-17
20051.43%USD 0.544USD0.12862005-12-16
USD0.1382005-09-16
USD0.24222005-06-17
USD0.03562005-03-18
20040.93%USD 0.353USD0.0192004-12-31
USD0.09842004-12-17
USD0.06442004-09-17
USD0.1492004-06-18
USD0.02262004-03-19
20032.19%USD 0.836USD0.6482003-12-19
USD0.04662003-09-19
USD0.12142003-06-20
USD0.01982003-03-21
20020.11%USD 0.041USD0.02782002-12-31
USD0.01352002-12-20