iShares Core Conservative Allocation ETF(AOK) USD 35.02
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.52%USD 0.181USD0.077912023-04-04
USD0.052342023-03-02
USD0.051182023-02-02
20222.16%USD 0.755USD0.186692022-12-23
USD0.047822022-12-02
USD0.042062022-11-02
USD0.075122022-10-04
USD0.039662022-09-02
USD0.040622022-08-02
USD0.120752022-07-05
USD0.038082022-06-02
USD0.037772022-05-03
USD0.058782022-04-04
USD0.030422022-03-02
USD0.037672022-02-02
20211.77%USD 0.618USD0.171932021-12-23
USD0.026612021-12-02
USD0.032822021-11-02
USD0.056522021-10-04
USD0.033222021-09-02
USD0.028922021-08-03
USD0.103642021-07-02
USD0.02622021-06-02
USD0.025212021-05-04
USD0.049622021-04-05
USD0.030252021-03-02
USD0.033472021-02-02
20202.33%USD 0.816USD0.152282020-12-24
USD0.038182020-12-02
USD0.04782020-11-03
USD0.074212020-10-02
USD0.046662020-09-02
USD0.042822020-08-04
USD0.131212020-07-02
USD0.047362020-06-02
USD0.049882020-05-04
USD0.081972020-04-02
USD0.05512020-03-03
USD0.048462020-02-04
20192.81%USD 0.984USD0.16762019-12-24
USD0.050482019-12-03
USD0.052612019-11-04
USD0.081522019-10-02
USD0.062432019-09-04
USD0.0582019-08-02
USD0.174242019-07-02
USD0.063972019-06-04
USD0.062732019-05-02
USD0.083112019-04-02
USD0.061262019-03-04
USD0.065932019-02-04
20182.50%USD 0.877USD0.14712018-12-28
USD0.056512018-12-04
USD0.058582018-11-02
USD0.078972018-10-02
USD0.060122018-09-05
USD0.056572018-08-02
USD0.155912018-07-03
USD0.048882018-06-04
USD0.04852018-05-02
USD0.069352018-04-03
USD0.044392018-03-02
USD0.051682018-02-02
20172.87%USD 1.006USD0.056242017-12-28
USD0.3622017-12-04
USD0.041342017-11-02
USD0.069742017-10-03
USD0.047532017-09-06
USD0.0462017-08-02
USD0.140962017-07-06
USD0.044082017-06-02
USD0.046842017-05-02
USD0.065612017-04-04
USD0.036952017-03-02
USD0.049172017-02-02
20161.99%USD 0.697USD0.116832016-12-28
USD0.058972016-12-02
USD0.035392016-11-02
USD0.062662016-10-04
USD0.037812016-09-02
USD0.038492016-08-02
USD0.138992016-07-06
USD0.035232016-06-02
USD0.037842016-05-03
USD0.065812016-04-04
USD0.034112016-03-02
USD0.034752016-02-02
20151.82%USD 0.638USD0.106732015-12-28
USD0.032462015-12-02
USD0.031512015-11-03
USD0.057212015-10-02
USD0.036552015-09-02
USD0.038152015-08-04
USD0.141272015-07-02
USD0.036592015-06-02
USD0.034692015-05-04
USD0.062592015-04-02
USD0.030282015-03-03
USD0.030422015-02-03
20141.94%USD 0.679USD0.123662014-12-26
USD0.037512014-12-02
USD0.030942014-11-04
USD0.058312014-10-02
USD0.033892014-09-03
USD0.035092014-08-04
USD0.165182014-07-02
USD0.041022014-06-03
USD0.035312014-05-02
USD0.055022014-04-02
USD0.028132014-03-04
USD0.034782014-02-04
20131.66%USD 0.582USD0.093212013-12-27
USD0.028182013-12-03
USD0.02882013-11-04
USD0.057152013-10-02
USD0.03132013-09-04
USD0.031932013-08-02
USD0.12752013-07-02
USD0.033012013-06-04
USD0.035262013-05-02
USD0.062672013-04-02
USD0.031792013-03-04
USD0.02122013-02-04
20121.79%USD 0.628USD0.101242012-12-27
USD0.073182012-12-04
USD0.035732012-11-02
USD0.048262012-10-02
USD0.025122012-09-05
USD0.025222012-08-02
USD0.139212012-07-03
USD0.050522012-06-04
USD0.024172012-05-02
USD0.053192012-04-03
USD0.026052012-03-02
USD0.026062012-02-02
20111.97%USD 0.691USD0.083392011-12-28
USD0.036682011-12-02
USD0.04622011-11-02
USD0.054462011-10-04
USD0.024562011-09-02
USD0.055712011-08-02
USD0.09962011-07-05
USD0.073572011-06-02
USD0.058012011-05-03
USD0.076662011-04-04
USD0.040092011-03-02
USD0.04182011-02-02
20101.46%USD 0.511USD0.084792010-12-29
USD0.03972010-12-02
USD0.0282010-11-02
USD0.05062010-10-04
USD0.02052010-09-02
USD0.02662010-08-03
USD0.08192010-07-02
USD0.04252010-06-02
USD0.02622010-05-04
USD0.06372010-04-05
USD0.01932010-03-02
USD0.02732010-02-02
20091.81%USD 0.634USD0.08042009-12-29
USD0.03362009-12-02
USD0.03952009-11-03
USD0.04932009-10-02
USD0.0752009-09-02
USD0.04072009-08-04
USD0.09982009-07-02
USD0.04182009-06-02
USD0.05782009-05-04
USD0.07372009-04-02
USD0.02482009-03-03
USD0.01782009-02-03
20080.32%USD 0.113USD0.11312008-12-29